Libros de Inversión y Financiación

Mostrando 1300 libros encontrados. (65 páginas).


  • Behavioural Investing: a Practitioners Guide To Applying Behavioural Finance

    Montier, James

    Wiley & Sons Ltd. (2007)

    valoración

    • EAN: 9780470516706
    • Páginas: 416
    • Fecha de edición: 2007

    pvp.85,30 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Behavioural investing seeks to bridge the gap between
    psychology and investing. All too many investors are unaware of the mental
    pitfalls that await them. Even once we are aware of our biases, we ...

  • Managing Energy Risk: An Integrated View On Power And Other Energy Markets

    Burger, Markus Graeber, Bernhard Schindlmayr, Gero

    Wiley & Sons Ltd. (2007)

    valoración

    • EAN: 9780470029626
    • Páginas: 352
    • Fecha de edición: 2007

    pvp.127,40 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    This book presents mathematical techniques for trading and risk management. "Managing Energy Risk" closes the gap between modern techniques from financial mathematics and the practical implementation for trading and risk management. It takes a multi ...

  • Mergent'S Dividend Achievers: Fall 2007

    Mergent Inc.

    Wiley & Sons Ltd. (2007)

    valoración

    • EAN: 9780470119938
    • Páginas: 432
    • Fecha de edición: 2007

    pvp.51,00 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    "Mergent's Dividend Achievers Fall 2007" profiles approximately 300 truly remarkable U.S. companies that have increased their regular cash dividends annually for ten or more consecutive years. With this book, readers can put together an extraordinary, ...

  • Handbook Of Asset And Liability Management: From Models To Optimal Return Strategies

    Adam, Alexandre

    Wiley & Sons Ltd. (2007)

    valoración

    • EAN: 9780470034965
    • Páginas: 552
    • Fecha de edición: 2007

    pvp.109,20 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    This is a handbook for asset and liability managers that covers every part of ALM in a quantitative approach with economic explanations for each equation. It describes asset and liability management and gives a description ...

  • Intelligent Commodity Investing: New Strategies And Practical Insights For Informed Decision Making

    Eagleey, Joseph Till, Hilary

    Riskbooks (2007)

    valoración

    • EAN: 9781904339632
    • Páginas: 350
    • Fecha de edición: 2007

    pvp.185,95 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    This is the only multi-contributor book on commodity investment offering a breadth of opinions for sophisticated investors. It looks at commodity investment from the following perspectives: the investor, the active manager, the commodity index provider, ...

  • Corporate Governance And Corporate Finance: a European Perspective

    Ang, James S. Frederikslust, Ruud A.I. Van Sudarsanam, P.S.

    Routledge (2007)

    valoración

    • EAN: 9780415405324
    • Páginas: 0
    • Fecha de edición: 2007

    pvp.63,70 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    This volume is a contribution from Ruud. A. I. van Frederikslust, Associate Professor of Finance, Rotterdam School of Management, Erasmus University Rotterdam, James S. Ang, Bank of America Eminent Scholar, Professor of Finance, College of ...

  • Plight Of The Fortune Tellers: Why We Need To Manage Financial Risk Differently

    Rebonato, Riccardo

    Princeton University Press (2007)

    valoración

    • EAN: 9780691133614
    • Páginas: 304
    • Fecha de edición: 2007

    pvp.36,35 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Today's top financial-risk professionals have come to rely on ever-more sophisticated mathematics in their attempts to come to grips with financial risk. But this excessive reliance on quantitative precision is misleading--and it puts us all ...

  • Foreign Direct Investment: Analysis Of Aggregate Flows

    Razin, Assaf Sadka, Efraim

    Princeton University Press (2007)

    valoración

    • EAN: 9780691127064
    • Páginas: 158
    • Fecha de edición: 2007

    pvp.54,55 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    The 1990s saw global flows of foreign direct investment increase some sevenfold, spurring economists to explore FDI from a micro- or trade-based perspective. Foreign Direct Investment is one of the first books to analyze the ...

  • Counterparty Credit Risk Modelling

    Pykhtin, Michael

    Riskbooks (2006)

    valoración

    • EAN: 9781904339762
    • Páginas: 399
    • Fecha de edición: 2006

    pvp.180,20 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    To enhance your understanding of the risk management, pricing and regulation of counterparty credit risk, this new title offers the most detailed and comprehensive coverage available. Michael Pykhtin, a globally respected expert in credit risk, ...

  • The Advanced Measurement Approach To Operational Risk

    Davis, Ellen F.

    Riskbooks (2006)

    valoración

    • EAN: 9781904339885
    • Páginas: 350
    • Fecha de edición: 2006

    pvp.185,95 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    This is a technical guide on how to model operational risk, with practical advice on how to set up an AMA programme that supports the modelling and quantification goals of a financial institution. The book ...

  • An Introduction To Operational Risk: a Practitioner Guide

    Kaiser, Thomas Köhne, Marc

    Riskbooks (2006)

    valoración

    • EAN: 9781904339519
    • Páginas: 150
    • Fecha de edición: 2006

    pvp.154,70 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    In the spirit of enterprise risk management, the reader will benefit from an integral treatment of the three pillars of internal performance measurement in a financial institution: Funds transfer pricing; Economic capital; and Expense allocation. ...

  • The Basel Handbook: a Guide For Financial Practitioners

    Ong, Michael K.

    Riskbooks (2006)

    valoración

    • EAN: 9781904339557
    • Páginas: 500
    • Fecha de edición: 2006

    pvp.234,65 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    This work includes new chapters and topics, such as the asset classes required under Pillar 1, the new required elements for capital adequacy and the minimum capital requirements for securitization and operational risk, credit risk ...

  • Frontiers Of Risk Management: Key Issues And Solutions.

    Cox, Dennis

    Euromoney (2007)

    valoración

    • EAN: 9781843742722
    • Páginas: 300
    • Fecha de edición: 2007

    pvp.262,10 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    This publication identifies risk management issues that are likely to emerge in the future and the solutions that will be developed to meet these needs. This comprehensive text covers credit, market, operational, liquidity, outsourcing and ...

  • The Complete Guide To Buying, Developing And Investing In Green Property

    Dawson, Catherine

    Kogan Page (2007)

    valoración

    • EAN: 9780749449759
    • Páginas: 208
    • Fecha de edición: 2007

    pvp.21,85 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    The Complete Guide to Buying, Developing and Investing in Green Property is for those who want to change their property and lifestyle to one more ecologically sound and in tune with their environment, yet who ...

  • The Complete Guide To Property Development For The Small Investor

    Dawson, Catherine

    Kogan Page (2007)

    valoración

    • EAN: 9780749450021
    • Páginas: 304
    • Fecha de edición: 2007

    pvp.21,85 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    The Complete Guide to Property Development for the Small Investor covers every stage of property development. Including both practical 'how-to advice and important guidance on making a profit from property investment, this guide constitutes a ...

  • Credit Derivative Strategies: New Thinking On Managing Risk And Return

    Douglas, Rohan

    Bloomberg Press. (2007)

    valoración

    • EAN: 9781576601877
    • Páginas: 288
    • Fecha de edición: 2007

    pvp.40,95 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    In the past two years, trading in credit derivatives ' deals that transfer credit risk between parties ' has doubled to US$10 billion per day. This market explosion is being driven by professional investors and ...

  • Operational Risk Management

    Moosa, Imad

    Palgrave (2007)

    valoración

    • EAN: 9780230506442
    • Páginas: 280
    • Fecha de edición: 2007

    pvp.230,85 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Operational risk management is attracting the attention of academics and professionals worldwide. Academics are interested in this topic because it provides opportunities for the application of sophisticated statistical techniques, as well as lucrative opportunities for ...

  • Manual Práctico : Promoción Inmobiliaria. Tomo I . Capítulos 1 a 5

    Dodero Jordan, Adolfo Dorta Velazquez, Jose Andres Parejo, Gonzalo Pariente Muñoz, Jose Guillermo Suarez Falcon, Heriberto

    Ciss (2007)

    valoración

    • EAN: 9788493440886
    • Páginas: 0
    • Fecha de edición: 2007

    pvp.138,14 €

    Sin Stock. Posibilidad entre 3 y 7 días

    Escrita por y para los que diariamente se enfrentan al reto de desarrollar actuaciones inmobiliarias


    CON TODO EL CONTENIDO QUE USTED NECESITA
    Todo el proceso desde el principio al fin.

  • Manual Práctico: Promoción Inmobiliaria. Tomo Ii. Capítulos 6 y 7

    Dodero Jordan, Adolfo Dorta Velazquez, Jose Andres Parejo, Gonzalo Pariente Muñoz, Jose Guillermo Suarez Falcon, Heriberto

    Ciss (2007)

    valoración

    • EAN: 9788493440893
    • Páginas: 0
    • Fecha de edición: 2007

    pvp.138,13 €

    Sin Stock. Posibilidad entre 3 y 7 días

    Escrita por y para los que diariamente se enfrentan al reto de desarrollar actuaciones inmobiliarias


    CON TODO EL CONTENIDO QUE USTED NECESITA
    Todo el proceso desde el principio al fin.

  • The Analytics Of Risk Model Validation

    Christodoulakis, George Satchell, Stephen

    Elsevier Science Publishers (2007)

    valoración

    • EAN: 9780750681582
    • Páginas: 256
    • Fecha de edición: 2007

    pvp.73,50 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Risk model validation is an emerging and important area of research, and has arisen because of Basel I and II. These regulatory initiatives require trading institutions and lending institutions to compute their reserve capital in ...