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Handbook of Research on New Challenges and Global Outlooks in Financial Risk Management, Madaleno Mara, Vieira Elisabete, Bărbuță-Mișu Nicole


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Автор: Madaleno Mara, Vieira Elisabete, Bărbuță-Mișu Nicole
Название:  Handbook of Research on New Challenges and Global Outlooks in Financial Risk Management
ISBN: 9781799886099
Издательство: Mare Nostrum (Eurospan)
Классификация:



ISBN-10: 1799886093
Обложка/Формат: Hardback
Страницы: 315
Вес: 1.43 кг.
Дата издания: 30.01.2022
Серия: Economics/Business/Finance
Язык: English
Размер: 130 x 198 x 18
Читательская аудитория: Professional and scholarly
Ключевые слова: Accounting,Corporate finance,Finance,Investment & securities, BUSINESS & ECONOMICS / Accounting / General,BUSINESS & ECONOMICS / Finance
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Поставляется из: Англии
Описание: Focuses on international risk management practices, and its relationship to firms` performance, and other dimensions of companies. The book presents research on topics such as several types of financial risk, management of risk, hedging strategies, corporate governance and risk management, and behavioral finance and risk, and more.


Managing Credit Risk, Second Edition: The Great Ch allenge for Global Financial Markets

Автор: Caouette
Название: Managing Credit Risk, Second Edition: The Great Ch allenge for Global Financial Markets
ISBN: 0470118725 ISBN-13(EAN): 9780470118726
Издательство: Wiley
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Цена: 11880.00 р.
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Описание: A timely follow-up to the widely successful Managing Credit Risk , which is regarded as essential reading for anyone involved within the field of credit. Everything is expanding enormously, and Managing Credit Risk, Second Edition will provide practitioners with the resources they need to keep up with such changes to the field of credit.

Автор: Elisabete Vieira, Mara Madaleno, Nicoleta Barbu?a-Mi?u
Название: New Challenges and Global Outlooks in Financial Risk Management
ISBN: 1799886107 ISBN-13(EAN): 9781799886105
Издательство: Mare Nostrum (Eurospan)
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Цена: 25780.00 р.
Наличие на складе: Нет в наличии.

Описание: Risk affects many different companies, industries, and institutions, and the COVID-19 pandemic has caused more challenges than before to arise. In the wake of these new challenges, new risk management strategies must arise. Risk affects many companies differently, though in the aftermath of a global pandemic, similar management strategies may be adapted to maintain a flourishing business. Financial risk management has become increasingly important in the last years, and a profound understanding of this subject is vital.

New Challenges and Global Outlooks in Financial Risk Management discusses the financial instruments firms use to manage the difference kinds of financial risks and risk management practices in a variety of different countries. This book offers an international focus of risk management, comparing different practices from all over the world. Covering topics such as bank stability, environmental assets, and perceived risk theory, this book is a valuable research source for regulatory authorities, accountants, managers, academicians, students, researchers, graduate students, researchers, faculty, and practitioners.

China`s Macroeconomic Outlook

Автор: Center for Macroeconomic Research of Xiamen Univer
Название: China`s Macroeconomic Outlook
ISBN: 9811032793 ISBN-13(EAN): 9789811032790
Издательство: Springer
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Цена: 12577.00 р.
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Описание: It is published twice a year and presents ongoing results from the "China Quarterly Macroeconomic Model (CQMM)," a research project at the Center for Macroeconomic Research (CMR) at Xiamen University.

Handbook of Research on Global Issues in Financial Communication and Investment Decision Making

Автор: Hasan Dincer, Serhat Yuksel
Название: Handbook of Research on Global Issues in Financial Communication and Investment Decision Making
ISBN: 1522592652 ISBN-13(EAN): 9781522592655
Издательство: Mare Nostrum (Eurospan)
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Цена: 53361.00 р.
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Описание: Globalization has brought many risks to the financial market. A much higher level of competition and certain laws and regulations have driven executive leaders to rely on more transparency and effective communication with different shareholders in order for their companies to not only flourish but survive. The Handbook of Research on Global Issues in Financial Communication and Investment Decision Making seeks to define the significance of financial communication and the necessary actions and strategies that companies should take to remain competitive. Highlighting topics such as investor relationships, audits, effective financial reporting, corporate governance, risk management, international business, and economic development, this book is ideally designed for researchers, academicians, executives, consultants, policymakers, and government officials seeking current research on maintaining strong lines of communication throughout the fiscal sector.

Six Sigma Improvements for Basel III and Solvency II in Financial Risk Management: Emerging Research and Opportunities

Автор: Vojo Bubevski
Название: Six Sigma Improvements for Basel III and Solvency II in Financial Risk Management: Emerging Research and Opportunities
ISBN: 1522572805 ISBN-13(EAN): 9781522572800
Издательство: Mare Nostrum (Eurospan)
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Цена: 24116.00 р.
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Описание: Ever-increasing attacks against individual and corporate finances over the past few decades prompt swift action from the realm of financial management. Advances in protection as well as techniques for controlling these disasters is instrumental for financial security and threat prevention.Six Sigma Improvements for Basel III and Solvency II in Financial Risk Management: Emerging Research and Opportunities explores the theoretical and practical aspects of Six Sigma DMAIC methods and tools to improve the financial risk management process and applications within finance, research and development, and software engineering. Featuring coverage on a broad range of topics such as controlling VAR, financial institution evaluations, and global limit systems, this book is ideally designed for financial managers, risk managers, researchers, and academics seeking current research on financial risk management to ensure that uncertainty does not affect, or at least has a minimal impact on, the achievement of goals within a financial institution.

Distributed Ledger Technology and Digital Assets: Policy and Regulatory Challenges in Asia

Автор: Asian Development Bank
Название: Distributed Ledger Technology and Digital Assets: Policy and Regulatory Challenges in Asia
ISBN: 9292616463 ISBN-13(EAN): 9789292616465
Издательство: Mare Nostrum (Eurospan)
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Цена: 2884.00 р.
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Описание:

This report offers an analytical framework that allows for more systemic assessments of distributed ledger technology (DLT) and its applications.

It examines the evolution and typology of the emergent technology, its existing and projected applications, and regulatory and policy issues that they entail. This report highlights the trends, concerns, and potential opportunities of DLTs, especially for Asian markets. It also identifies the benefits and risks to using DLT and offers a functional and proportional approach to these issues.

Peer-to-Peer Lending with Chinese Characteristics: Development, Regulation and Outlook

Автор: P2P Research Group, Shanghai Finance Institute
Название: Peer-to-Peer Lending with Chinese Characteristics: Development, Regulation and Outlook
ISBN: 0367516675 ISBN-13(EAN): 9780367516673
Издательство: Taylor&Francis
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Цена: 6430.00 р.
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Описание:

Literature on China's finance in the West has focused on "financial repression" in its highly regulated financial markets. However, fundamental changes in China's financial system are underway and China's peer-to-peer (P2P) lending is now the largest in the world.

This book uses exclusive researches, interviews and surveys to bring readers a clear picture of the rapidly developing P2P lending industry in China. It is comprised of two parts. The first part is a comprehensive analysis of China's P2P lending industry. It outlines the factors behind the meteoric rise of P2P lending in China, and also the challenges its rapid rise has posed. The second part is a panoramic survey of China's P2P lending industry with study of typical cases, which could also provide reference to the analysis in the first part. Besides, it introduces the existing relevant regulations, regulators, likely upcoming regulatory measures as well as the diverse body of new financial institutions appearing with the development of the industry, to analyse in-depth the current functioning of the industry in China and its lending practices through a large scale survey.

Handbook of Research on Accounting and Financial Studies

Автор: Luis Farinha, Ana Baltazar Cruz, Joao Renato Sebas
Название: Handbook of Research on Accounting and Financial Studies
ISBN: 1799821366 ISBN-13(EAN): 9781799821366
Издательство: Mare Nostrum (Eurospan)
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Цена: 39640.00 р.
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Описание: The competitive nature of organizations in today's globalized world has led to the development of various approaches to increasing profitability and maintaining an advantage over rival companies. As technology continues to be integrated into business practices, specifically in the area of accounting and finance, professionals and educators need to be prepared for advancing economic techniques, and they need to maintain a high level of financial literacy.

The Handbook of Research on Accounting and Financial Studies is a pivotal reference source that provides vital research on advanced knowledge and emerging business practices and teaching dynamics in the fields of accounting and finance. While highlighting topics such as cost-benefit analysis, risk management, and corporate governance, this publication explores new initiatives in entrepreneurship and performance management. This book is ideally designed for business managers, consultants, entrepreneurs, auditors, tax practitioners, economists, accountants, academicians, researchers, and students seeking current research on modern advancements and recent findings in accounting and financial studies.

Systemic Risk and Macroprudential Regulations: Global Financial Crisis and Thereafter

Автор: Rabi N. Mishra
Название: Systemic Risk and Macroprudential Regulations: Global Financial Crisis and Thereafter
ISBN: 9353289122 ISBN-13(EAN): 9789353289126
Издательство: Sage Publications
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Цена: 7128.00 р.
Наличие на складе: Поставка под заказ.

Описание:

The Global Financial Crisis is undoubtedly the most severe financial crisis the world witnessed since the Great Depression of 1929. The crisis has been analysed by a number of experts offering distinct narratives and counter-narratives.

Systemic Risk and Macroprudential Regulations
examines causes and consequences of the global financial crisis and proposes a regulatory reforms policy—macroprudential regulations. The book emphasizes ‘systemic risk’ as the new-found villain of the financial space and narrates how such risk can be addressed through macroprudential tools. It, thus, offers a possible solution to avoid financial crises in future and facilitates building a safer financial system globally. The book also examines major crisis management frameworks, stress testing, relevant regulatory and supervisory development, and early warning mechanism with detailed cross-country analysis.


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