Libros de Inversión y Financiación
Mostrando 1317 libros encontrados. (66 páginas).
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Stress Testing For Risk Control Under Basel Ii.
Chorafas, Dimitris N.
Butterworth-Heinemann (2006)
- EAN: 9780750683050
- Páginas: 352
- Fecha de edición: 2006
pvp.73,60 €
Sin Stock. Posibilidad entre 11 y 20 dias
The Consultative paper issued by the Basel Committee on Banking Supervision (Basel II) cites the failure of bankers to adequately stress test exposures as a major reason for bad loans. Sample quotes from this crucial ...
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Value At Risk "The New Benchmark For Managing Financial Risk"
Jorion, Philippe
Mcgraw-Hill Interamericana de España (2006)
- EAN: 9780071464956
- Páginas: 600
- Fecha de edición: 2006
pvp.94,95 €
Sin Stock. Posibilidad entre 11 y 20 dias
Since its original publication, Value at Risk has become the industry standard in risk management. Now in its Third Edition, this international bestseller addresses the fundamental changes in the field that have occurred across the ...
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Project Finance
Vinter, Graham
Sweet And Maxwell (2005)
- EAN: 9780421909502
- Páginas: 0
- Fecha de edición: 2005
pvp.290,00 €
Sin Stock. Posibilidad entre 11 y 20 dias
The new edition of a popular and highly regarded text, "Project Finance" examines the legal issues involved in the tendering, negotiation, financial structuring and management of infrastructure and energy projects. It provides detailed guidance on ...
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The Capital Budgeting Decision
Bierman, Harold Jr. Smidt, S.
Routledge (2006)
- EAN: 9780415400046
- Páginas: 320
- Fecha de edición: 2006
pvp.54,60 €
Sin Stock. Posibilidad entre 11 y 20 dias
Individuals and businesses face large numbers of decisions where it is reasonably feasible to quantify key costs and benefits of a project. This invaluable book enables the decision-maker to make sensible choices when elements of ...
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Damodaran On Valuation "Security Analysis For Investment And Corporate Finance"
Security Analysis For Investment And Corporate FinanceDamodaran, Aswath
Wiley & Sons Ltd. (2006)
- EAN: 9780471751212
- Páginas: 696
- Fecha de edición: 2006
pvp.96,95 €
En stock
In order to be a successful CEO, corporate strategist, or analyst, understanding the valuation process is a necessity. The second edition of Damodaran on Valuation stands out as the most reliable book for answering many ...
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Microfinance.
La Torre, Mario Vento, Gianfranco
Macmillan Publishers (2006)
- EAN: 9781403997890
- Páginas: 256
- Fecha de edición: 2006
pvp.99,95 €
Sin Stock. Posibilidad entre 11 y 20 dias
Microfinance is a comprehensive analysis of the operational, managerial and financial aspects of microfinance. The text provides a contemporary analysis of microfinance business covering the risks, returns and management issues associated with such activity. It ...
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Multi-Moment Asset Allocation And Pricing Models
Jurczenko, Emmanuel Maillet, Bertrand
Wiley & Sons Ltd. (2006)
- EAN: 9780470034156
- Páginas: 256
- Fecha de edición: 2006
pvp.118,30 €
Sin Stock. Posibilidad entre 11 y 20 dias
While mainstream financial theories and applications assume that asset returns are normally distributed and individual preferences are quadratic, the overwhelming empirical evidence shows otherwise. Indeed, most of the asset returns exhibit "fat-tails" distributions and investors ...
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The Cash Flow "A Nonprofit Board Member'S Guide To Financial Success"
A Nonprofit Board Member'S Guide To Financial SuccessLinzer, Anna Linzer, Richard
Jossey - Bass Publishers (2006)
- EAN: 9780787978334
- Páginas: 160
- Fecha de edición: 2006
pvp.36,35 €
Sin Stock. Posibilidad entre 11 y 20 dias
A new way for nonprofits to get the money they need to achieve their goals
The Cash Flow Solution translates a new approach to money management in the nonprofit sector into simple and easy concepts ... -
Liquidity Risk Management
Matz, Leonard Neu, Peter
Wiley & Sons Ltd. (2006)
- EAN: 9780470821824
- Páginas: 500
- Fecha de edición: 2006
pvp.136,50 €
Sin Stock. Posibilidad entre 11 y 20 dias
This book gives you the guidance and the tools you require to take control of your bank's liquidity risk. No other resource takes you from the general principles of liquidity management to the specific financial ...
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The Hedge Fund Compliance And Risk Management Guide
Guizot, Armelle
Wiley & Sons Ltd. (2006)
- EAN: 9780470043578
- Páginas: 356
- Fecha de edición: 2006
pvp.118,30 €
Sin Stock. Posibilidad entre 11 y 20 dias
A complete and innovative review of hedge funds most important compliance and risk management issues
The Hedge Fund Compliance and Risk Management Guide provides a broad examination of hedge fund operations, describing how risks ... -
Economics And Finance Of Risk And Of The Future.
Kast, Robert Lapid, Andre
Wiley & Sons Ltd. (2006)
- EAN: 9780470015773
- Páginas: 242
- Fecha de edición: 2006
pvp.145,60 €
Sin Stock. Posibilidad entre 11 y 20 dias
This book uses real-world examples to show how individual and collective risks can be blended and treated in a reliable decision-making framework that draws its inspiration from decision theory and market based mechanisms. It then ...
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Enterprise Risk Management: a Manager'S Journey.
Pickett, K. H. Spencer
Wiley & Sons Ltd. (2006)
- EAN: 9780471745297
- Páginas: 288
- Fecha de edición: 2006
pvp.67,40 €
Sin Stock. Posibilidad entre 11 y 20 dias
"Enterprise Risk Management" creates an awareness of ERM and how risk may be managed across all parts of the business to promote organizational success. The book includes diagrams and checklists and follows a "how-to" format ...
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Corporate Governance. Best Practices
Lipman, Frederick
Wiley & Sons Ltd. (2006)
- EAN: 9780470043790
- Páginas: 288
- Fecha de edición: 2006
pvp.58,25 €
Sin Stock. Posibilidad entre 11 y 20 dias
This book outlines best practices for board directors in public, private, and not-for-profit organizations. It provides real-world cases and best practices in corporate culture, compliance, audit committees, compensation committees, other committees, working with internal audit, ...
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Risk Quantification: Management, Diagnosis And Hedging.
Louisot, Jean Paul Naim, Patrick
Wiley & Sons Ltd. (2006)
- EAN: 9780470019078
- Páginas: 256
- Fecha de edición: 2006
pvp.81,90 €
Sin Stock. Posibilidad entre 11 y 20 dias
Risk Quantification imparts a sound understanding of the tools available for assessing exposure to risk: quantifying both the probability of the event, frequency of the event or the likeliness of it occurring. Like other risk ...
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Delivering High Performance: Cfo Insights.
Sutcliffe, Michael
Wiley & Sons Ltd. (2006)
- EAN: 9780470026960
- Páginas: 416
- Fecha de edición: 2006
pvp.63,70 €
Sin Stock. Posibilidad entre 11 y 20 dias
CFO Insights: Delivering High Performance explores the implications of Accentures high performance finance research and interprets the link between high performance business and the role of the CFO in delivering this. Written from the perspective ...
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Other People'S Money: The Corporate Mugging Of America.
Nomi Prins
New Press (2006)
- EAN: 9781595580634
- Páginas: 342
- Fecha de edición: 2006
pvp.18,18 €
Sin Stock. Posibilidad entre 11 y 20 dias
Critical, independent voices are seldom found within the citadels of international finance. That's what makes Nomi Prins unique. During fifteen years in the upper flights of banks like Goldman Sachs, Bear Stearns, and Lehman Brothers, ...
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Asset Prices, Booms And Recessions
Semmler, Willi
Springer (2006)
- EAN: 9783540287841
- Páginas: 256
- Fecha de edición: 2006
pvp.97,80 €
Sin Stock. Posibilidad entre 11 y 20 dias
"Asset Prices, Booms and Recessions" is a book on Financial Economics from a dynamic perspective. It focuses on the dynamic interaction of financial markets and economic activity. The financial markets to be studied here encompasses ...
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Forecasting Financial Markets: The Psychology Of Successful Investing.
Plummer, Tony
Kogan Page (2006)
- EAN: 9780749447496
- Páginas: 415
- Fecha de edición: 2006
pvp.58,50 €
Sin Stock. Posibilidad entre 11 y 20 dias
In the fourth edition of his advice book for investors, financial market analyst Plummer identifies in the economic and financial market behavior an archetypical cycle mechanism that is both patterned and rhythmic. He explains that ...
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Recovery Risk. The Next Challenge In Credit Risk Management.
Altman, Edward Resti, A. Sironi, A.
Riskbooks (2005)
- EAN: 9781904339502
- Páginas: 364
- Fecha de edición: 2005
pvp.180,00 €
Sin Stock. Posibilidad entre 11 y 20 dias
The measurement of LGD - the share of an exposure that is actually lost when a borrower defaults - is a critical area of the science of credit analysis. Topics covered include:
Using ... -
Credit Risk Management And Basel Ii. An Implementation Guide.
Bhatia, Mohan
Riskbooks (2006)
- EAN: 9781904339434
- Páginas: 450
- Fecha de edición: 2006
pvp.185,95 €
Sin Stock. Posibilidad entre 11 y 20 dias
As a unique implementation guide covering the entire spectrum of credit risk management, this book will assist you with your credit risk policy and help you to facilitate the establishment of risk processes and procedures. ...

