Libros de Bolsa
Mostrando 1977 libros encontrados. (99 páginas).
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The Boston Institute Of Finance Stockbroker Course: Series 7 And 63 Test Prep With On-Line Test Question
Varios
Wiley & Sons Ltd. (2005)
- EAN: 9780471712350
- Páginas: 560
- Fecha de edición: 2005
pvp.72,90 €
Sin Stock. Posibilidad entre 11 y 20 dias
An all-in-one product that provides preparation information for the two tests necessary to sell stocks Passing the Series 7 and Series 63 exams are necessary for anyone who wants to sell stocks. The Boston Institute ...
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The Boston Institute Of Finance Mutual Fund Advisor Course: Series 6 And Series 63 Test Prep With On-Lin
Varios
Wiley & Sons Ltd. (2005)
- EAN: 9780471712343
- Páginas: 224
- Fecha de edición: 2005
pvp.49,50 €
Sin Stock. Posibilidad entre 11 y 20 dias
Access the industry's premier print study guide and the industry's premier online test-prep materials with this unique package. The study guide consists of seven chapters, which parallel the content of the exams. Each chapter includes ...
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Interest Rate Risk Modeling : The Fixed Income Valuation Course.
Nawalkha, Sanjay
Wiley & Sons Ltd. (2005)
- EAN: 9780471427247
- Páginas: 396
- Fecha de edición: 2005
pvp.109,20 €
Sin Stock. Posibilidad entre 11 y 20 dias
The definitive guide to fixed income valuation Fixed Income Valuation and Risk Analysis comprehensively covers the most definitive work on interest rate risk, term structure analysis, and credit risk in one easy-to-read volume. It examines ...
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Credit Derivatives, Cdos And Structured Credit Products.
Das, Satyajit
Wiley & Sons Ltd. (2005)
- EAN: 9780470821596
- Páginas: 850
- Fecha de edición: 2005
pvp.145,60 €
Sin Stock. Posibilidad entre 11 y 20 dias
A complete reference work offering comprehensive information on credit derivative products, applications, pricing/valuation approaches, documentation issues and accounting/taxation aspects of such transactions.
Previous editions have consisted of a number of chapters written by the ... -
Asset Price Dynamics, Volatility, And Prediction.
Taylor, Stephen J.
Princeton University Press (2005)
- EAN: 9780691115375
- Páginas: 552
- Fecha de edición: 2005
pvp.76,35 €
Sin Stock. Posibilidad entre 11 y 20 dias
This book shows how current and recent market prices convey information about the probability distributions that govern future prices. Moving beyond purely theoretical models, Stephen Taylor applies methods supported by empirical research of equity and ...
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El Crédito al Consumo en España.
Revista Del Instituto De Estudios E
Iee Instituto De Estudios Econ (2005)
- EAN: 2000008667203
- Páginas: 413
- Fecha de edición: 2005
pvp.35,98 €
Sin Stock. Posibilidad entre 3 y 7 días
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A Course In Derivative Securities: Introduction To Theory And Computation.
Back, Kerry
Springer (2005)
- EAN: 9783540253730
- Páginas: 355
- Fecha de edición: 2005
pvp.68,60 €
Sin Stock. Posibilidad entre 11 y 20 dias
This book aims at a middle ground between the introductory books on derivative securities and those that provide advanced mathematical treatments. It is written for mathematically capable students who have not necessarily had prior exposure ...
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Strategic Trading In Illiquid Markets.
Monch, Burkart
Springer (2005)
- EAN: 9783540250395
- Páginas: 116
- Fecha de edición: 2005
pvp.56,10 €
Sin Stock. Posibilidad entre 11 y 20 dias
This volume considers trading strategies in illiquid markets from three perspectives. The first chapter presents an innovative approach to investigate the interactions between the trading activities of a large investor, the stock price, and liquidity. ...
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A Practical Guide To Forecasting Financial Market Volatility.
Poon, Ser-Huang
Wiley & Sons Ltd. (2005)
- EAN: 9780470856130
- Páginas: 320
- Fecha de edición: 2005
pvp.109,20 €
Sin Stock. Posibilidad entre 11 y 20 dias
Financial market volatility forecasting is one of today's most important areas of expertise for professionals and academics in investment, option pricing, and financial market regulation. While many books address financial market modelling, no single book ...
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Fibonacci And Gann Applications In Financial Markets: How To Apply Ratios Correctly In Successful Analys
Maclean, George
Wiley & Sons Ltd. (2005)
- EAN: 9780470012178
- Páginas: 224
- Fecha de edición: 2005
pvp.91,00 €
Sin Stock. Posibilidad entre 11 y 20 dias
There are many books covering Fibonacci from an artistic and historical point of view and almost as many suggesting that Fibonacci retracements and numbers can be successfully applied to financial market time series. What is ...
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Financial Market Imperfections And Corporate Decisions: Lessons From The Transition Process In Hungary.
Colombo, Emilio Stanca, Luca
Physica Verlag (2005)
- EAN: 9783790815818
- Páginas: 184
- Fecha de edición: 2005
pvp.62,35 €
Sin Stock. Posibilidad entre 11 y 20 dias
The book presents the results of an empirical investigation of the behaviour of Hungarian firms during the transition process focusing in particular on the role of financial market imperfections for corporate capital structure and investment ...
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Capital Markets, Globalization, And Economic Development.
Gup, Benton
Springer (2005)
- EAN: 9780387245645
- Páginas: 220
- Fecha de edición: 2005
pvp.149,70 €
Sin Stock. Posibilidad entre 11 y 20 dias
This book examines some of the capital market issues that economies face as they mature. These include, but are not limited to, credit ratings, financial regulation, infrastructure privatization and other timely topics.
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Mutual Funds: Fifty Years Of Research Findings.
Ahmed, Pervaiz Anderson, Sarah
Springer (2005)
- EAN: 9780387253077
- Páginas: 165
- Fecha de edición: 2005
pvp.106,05 €
Sin Stock. Posibilidad entre 11 y 20 dias
Mutual funds are the dominant form of investment companies in the United States today, with approximately $7 trillion in assets under management. Over the past half century an important body of academic research has addressed ...
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Modelling The Riskiness In Country Risk Ratings.
Hoti, Suhejla Mcaleer, Michael
Elsevier Science Publishers (2005)
- EAN: 9780444518378
- Páginas: 492
- Fecha de edición: 2005
pvp.143,55 €
Sin Stock. Posibilidad entre 11 y 20 dias
The importance of country risk is underscored by the existence of several prominent country risk rating agencies. These agencies combine information regarding alternative measures of economic, financial and political risk into associated composite risk ratings. ...
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Corporate Valuation.
Fight, Andrew
Butterworth-Heinemann (2005)
- EAN: 9780750661348
- Páginas: 208
- Fecha de edición: 2005
pvp.56,10 €
Sin Stock. Posibilidad entre 11 y 20 dias
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The Rise And Fall Of Europe'S New Stock Markets.
Giudici, Giancarlo Roosenboom, Peter
Elsevier Science Publishers (2005)
- EAN: 9780762311378
- Páginas: 354
- Fecha de edición: 2005
pvp.118,60 €
Sin Stock. Posibilidad entre 11 y 20 dias
The advent of new stock markets (the German Neuer Markt, the French Nouveau Marche, the Italian Nuovo Mercato and Nasdaq Europe) has been one of the most important reforms of stock exchanges in Continental Europe ...
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How To Understand The Financial Pages
Davidson, Alexander
Kogan Page (2005)
- EAN: 9780749439576
- Páginas: 336
- Fecha de edición: 2005
pvp.26,90 €
Sin Stock. Posibilidad entre 11 y 20 dias
Whether you are a beginner or an expert, this book shows you how to get the most from the financial pages. Practical and accessible, it is an indispensable guide to reading the financial tables and ...
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The Fixed Income Securities And Derivatives Handbook: Analysis And Valuation.
Choudhry, Moorad
Bloomberg Press. (2005)
- EAN: 9781576601648
- Páginas: 355
- Fecha de edición: 2005
pvp.91,00 €
Sin Stock. Posibilidad entre 11 y 20 dias
Today's financial practitioners need to be fully conversant with the differences in the way that bonds are structured, valued, and traded. The Fixed-Income Securities and Derivatives Handbook is a comprehensive guide to the range of ...
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La Supervision Interna y el Gobierno Corporativo.
Arcenegui, Jose Antonio
Universidad De Cordoba (2005)
- EAN: 9788479595760
- Páginas: 315
- Fecha de edición: 2005
pvp.12,00 €
Sin Stock. Posibilidad entre 3 y 7 días
El manual expone con claridad las cuestiones relacionadas con el buen gobierno de la empresa y las entidades financieras, en general, y con las cajas de ahorros, en particular.
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Productos y Servicios Financieros y de Seguros Básicos "Grado Medio"
Grado MedioBermejo García, Félix Gomez Aparicio, Juan Miguel
Piramide (2005)
- EAN: 9788436819625
- Páginas: 203
- Fecha de edición: 2005
pvp.29,00 €
Sin Stock. Posibilidad entre 3 y 7 días