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V anglickom jazyku zo série The Wiley Finance Series

Našli sme 21 titulov

Commodities and Commodity Deri

The last few years have been a watershed for the commodities, cash and derivatives industry. New regulations and products have led to an explosion in the commodities markets, creating a new asset class for investors that includes hedge funds as well as... Zobraziť viac

🍌 Dodanie môže trvať viac ako 30 dní
110,06€
99,05€

Ilmanen, A: Expected Returns

Expected Returns is a one-stop reference that gives investors a comprehensive toolkit for harvesting market rewards from a wide range of investments. Written by an experienced portfolio manager, scholar, strategist, investment advisor and hedge fund... Zobraziť viac

🍌 Dodanie môže trvať viac ako 30 dní
61,91€
55,72€

Dowd, K: Measuring Market Risk

Dowd, K: Measuring Market Risk

Kevin Dowd, Wiley (2005)

Fully revised and restructured, Measuring Market Risk, Second Edition includes a new chapter on options risk management, as well as substantial new information on parametric risk, non-parametric measurements and liquidity risks, more practical... Zobraziť viac

🍎 Vypredané
128,33€

Mathematics of Banking and Fin

Mathematics of Banking and Fin

The world of business has changed significantly in recent years. Why? Because business has increasingly made more use of the probability, statistical methods and analytic techniques in areas where they previously were not used at all... Zobraziť viac

🍎 Vypredané
117,61€

Haug, E: Derivatives Models on Models

Haug, E: Derivatives Models on Models

This book takes a theoretical and practical look at some of the latest and most important ideas behind derivatives pricing models. In each chapter the author highlights the latest thinking and trends in the area. A wide range of topics is covered,... Zobraziť viac

🍎 Vypredané
78,41€

Global Private Banking and Wealth Mgmnt

Global Private Banking and Wealth Mgmnt

Wealth management is one of the areas in which banks and other personal financial services players are investing heavily. But the market is changing fast. Going forward, players therefore need to adapt their strategies to the new realities: what worked... Zobraziť viac

🍎 Vypredané
78,67€

Portfolio Theory and Performance Analysis

Portfolio Theory and Performance Analysis

For many years asset management was considered to be a marginal activity, but today, it is central to the development of financial industry throughout the world. Asset management's transition from an "art and craft" to an industry has inevitably called... Zobraziť viac

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122,49€

Risk Measures for the 21st Cen

Risk Measures for the 21st Cen

The last five years have witnessed a great momentum in the research into measures of financial risk. After many years of ad-hoc and non-consistent measures, now the problem is finally well formulated and some useful and very user-friendly solutions... Zobraziť viac

🍎 Vypredané
167,70€

Dubil, R: Arbitrage Guide to Financial Markets

Dubil, R: Arbitrage Guide to Financial Markets

An Arbitrage Guide to Financial Markets is the first book to explicitly show the linkages of markets for equities, currencies, fixed income and commodities. Using a unique structural approach, it dissects all markets the same way: into spot, forward... Zobraziť viac

🍎 Vypredané
89,39€

Smith, G: Trademark Valuation

Smith, G: Trademark Valuation

A practical and useful resource for valuing trademarks... Zobraziť viac

🍎 Vypredané
117,86€

Stochastic Claims Reserving Me

Stochastic Claims Reserving Me

Claims reserving is central to the insurance industry. Insurance liabilities depend on a number of different risk factors which need to be predicted accurately. This prediction of risk factors and outstanding loss liabilities is the core for pricing... Zobraziť viac

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108,84€

Applied Quantitative Methods

Applied Quantitative Methods

This book provides a manual on quantitative financial analysis. Focusing on advanced methods for modelling financial markets in the context of practical financial applications, it will cover data, software and techniques that will enable the reader to... Zobraziť viac

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108,32€

Copula Methods in Finance

Copula Methods in Finance

"Copula Methods in Finance is the first book to address the mathematics of copula functions illustrated with finance applications. It explains copulas by means of applications to major topics in derivative pricing and credit risk analysis. Examples... Zobraziť viac

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132,78€

Liquidity Theory of Asset Prices

Liquidity Theory of Asset Prices

For at least the last decade, there has been a growing sense of frustration among market professionals with the attempts by academics to account for the behaviour of financial markets. Very experienced practical people have become highly critical of... Zobraziť viac

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54,16€

Risk Management in Commodity Markets

Risk Management in Commodity Markets

Commodities are one of the fastest growing markets worldwide. Historically misunderstood, generally understudied and undervalued, certainly underrepresented, commodities are suddenly receiving the attention they deserve. After equities, fixed income... Zobraziť viac

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125,80€

Catastrophic Risk

Catastrophic Risk

Catastrophic risk is one of the most significant and challenging areas of corporate risk management. Analyze this risk for your company with Catastrophic Risk and make sure you have sufficient resources to absorb losses and avoid financial distress... Zobraziť viac

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100,61€

Understanding Islamic Finance

Understanding Islamic Finance

In Understanding Islamic Finance Muhammad Ayub introduces all the essential elements of this growing market by providing an in-depth background to the subject and clear descriptions of all the major products and processes associated with Islamic... Zobraziť viac

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51,58€

FIXED-INCOME SECURITIES

FIXED-INCOME SECURITIES

This textbook will be designed for fixed-income securities courses taught on MSc Finance and MBA courses. There is currently no suitable text that offers a 'Hull-type' book for the fixed income student market. This book aims to fill this need. The book... Zobraziť viac

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86,87€

Corporate Governance

Corporate Governance

The decade since the publication of the Cadbury Report in1992 has seen growing interest in corporate governance. This growth has recently become an explosion with major corporate scandals such as WorldCom and Enron in the US, the international... Zobraziť viac

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84,64€

Modeling, Measuring and Hedging Operational Risk

Modeling, Measuring and Hedging Operational Risk

"Modelling and Measuring Operational Risk" ist das einzige Buch auf dem Markt, das sich ausschließlich der quantitativen Messung und Modellierung des Betriebsrisikos widmet. Hierzu gehören z.B. Fehler bei der Transaktionsbearbeitung,... Zobraziť viac

🍎 Vypredané
66,00€