Libros de Inversión y Financiación

Mostrando 1310 libros encontrados. (66 páginas).


  • Evolutionary Finance.

    Dowling, Bartholomew

    Macmillan Publishers (2005)

    valoración

    • EAN: 9781403996657
    • Páginas: 320
    • Fecha de edición: 2005

    pvp.100,10 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    The purpose of this book is to introduce the field of bioinformatics to financial modelling. It focuses on the way information informs price, and constructs a framework to explain information generation and the agglomeration process, ...

  • Institutional Investors And Corporate Governance.

    Mallin, Chris

    Macmillan Publishers (2005)

    valoración

    • EAN: 9781403946164
    • Páginas: 256
    • Fecha de edición: 2005

    pvp.91,00 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Corporate governance is an area that has grown rapidly in the last few years. Institutional investors own a majority of UK equity, and have the power and ability to exercise significant influence on the companies ...

  • Economic And Financial Indicators.

    Hall, James Scobie, Homa

    Macmillan Publishers (2006)

    valoración

    • EAN: 9781403943552
    • Páginas: 200
    • Fecha de edición: 2006

    pvp.227,50 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Predictions are made about the future course of an economy in the light of information received from a variety of sources in the form of a host of economics and financial data. This book explains ...

  • Liquidity Black Holes: Understanding, Quantifying And Managing Financial Liquidity Risk

    Persaud, Avinash

    Riskbooks (2004)

    valoración

    • EAN: 9781904339137
    • Páginas: 272
    • Fecha de edición: 2004

    pvp.190,00 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    The clearest explanation yet of the impact on markets of volatility in liquidity and what happens when liquidity dries up.

  • Operational Risk Modelling And Analysis: Theory And Practice.

    Cruz, Marcelo G.

    Riskbooks (2004)

    valoración

    • EAN: 9781904339342
    • Páginas: 360
    • Fecha de edición: 2004

    pvp.185,00 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Commissioned to assist the reader in the identification, implementation, modelling, analysis and integration of operational risk into the overall risk management framework.

  • Managing Pension And Retirement Plans: a Guide For Employers, Administrators, And Other Fiduciaries.

    Baker, Alan Logue, D. Rader, J.

    Oxford University Press (2004)

    valoración

    • EAN: 9780195165906
    • Páginas: 366
    • Fecha de edición: 2004

    pvp.149,25 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    The purpose of Pension & Retirement Plan Management: A Guide for Managers and Other Fiduciaries is to provide reliable guidance for regulatory compliance, advice on managerial strategies, and some clarity on the underlying economics and ...

  • Recent Developments In Corporate Finance. 2 Vols. Set.

    Ritter, Jay

    Edward Elgar (2005)

    valoración

    • EAN: 9781843767978
    • Páginas: 872
    • Fecha de edición: 2005

    pvp.418,60 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    This innovative two-volume set reprints 24 of the most influential articles on corporate finance published during the period 1996 - 2003. Five topics are covered: capital structure, securities issuance, payout policy, corporate governance and diversification ...

  • The Basel II Rating: Ensuring Access To Finance For Your Business.

    Lambrecht, Marc

    Gower Publishing (2005)

    valoración

    • EAN: 9780566086533
    • Páginas: 190
    • Fecha de edición: 2005

    pvp.100,10 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    In future, if you are seeking access to equity or finance from a bank or bank-related institution, your company will need a Basel II rating. Marc Lambrecht's "The Basel II Rating" shows you what information ...

  • Understanding And Managing Risk Attitude.

    Hillson, David Murray-Webster, Ruth

    Gower Publishing (2005)

    valoración

    • EAN: 9780566086274
    • Páginas: 150
    • Fecha de edición: 2005

    pvp.109,20 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Risk matters, as it represents significant uncertainty that can affect achievement of our objectives. Thats why risk management is so important. People also matter, since projects arent performed by machines. How individuals and groups behave ...

  • Complete Guide To Business Risk Management.

    Sadgorve, Kit

    Gower Publishing (2005)

    valoración

    • EAN: 9780566086618
    • Páginas: 250
    • Fecha de edición: 2005

    pvp.118,30 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Risk management and contingency planning has really come to the fore since the first edition of this book was originally published. Computer failure, fire, fraud, robbery, accident, environmental damage, new regulations - business is constantly ...

  • Corporate Valuation Modelling.

    Richardson, John

    Gower Publishing (2005)

    valoración

    • EAN: 9780566085802
    • Páginas: 200
    • Fecha de edición: 2005

    pvp.140,00 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    The bursting of the dot.com bubble and the share price roller coaster that has followed it have called into question the established basis for valuing company's or their assets. John Richardson's book is a practical ...

  • Data Protection In The Financial Services Industry Managing Compliance And Risk.

    Webster, Mandy

    Gower Publishing Ltd. (2006)

    valoración

    • EAN: 9780566086625
    • Páginas: 232
    • Fecha de edición: 2006

    pvp.122,90 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Privacy and data protection are now important issues for companies across the financial services industry. Financial records are amongst the most sensitive for many consumers and the regulator is keen to promote good data handling ...

  • Understanding Futures Markets.

    Kolb, Robert W. Overdahl, J.

    Blackwell Publishers (2006)

    valoración

    • EAN: 9781405134033
    • Páginas: 588
    • Fecha de edición: 2006

    pvp.72,80 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Now in it's sixth edition, Robert Kolb's Understanding Futures Markets provides the most comprehensive coverage of futures markets available. With added insight by co-author James Overdahl (Chief Economist of the Commodity Futures Trading Commission), this ...

  • Finance: Introduction To Institutions, Investments, And Management.

    Melicher, Ronald W. Norton, E.

    Wiley & Sons Ltd. (2005)

    valoración

    • EAN: 9780471675792
    • Páginas: 592
    • Fecha de edición: 2005

    pvp.126,50 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    The Twelfth Edition of this successful book provides a survey of the foundations of the finance discipline. The authors covers the three major financial areas: Institutions & Markets, Investments, and Financial Management, helping you develop ...

  • Finance And Derivatives "Theory And Practice"
    Theory And Practice

    Bossu, Sebastien

    Wiley & Sons Ltd. (2005)

    valoración

    • EAN: 9780470014332
    • Páginas: 256
    • Fecha de edición: 2005

    pvp.49,15 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    An English-language translation of a successful French edition, Finance and Derivatives is the ideal balance of theory and practice, presenting essential financial theory, with a discussion of such topics as arbitrage pricing, portfolio theory, derivatives ...

  • Financial Issues In Product Development.

    Szobocsan, John

    Wiley & Sons Ltd. (2005)

    valoración

    • EAN: 9780471711377
    • Páginas: 352
    • Fecha de edición: 2005

    pvp.91,00 €

    Sin Stock. Posibilidad entre 11 y 20 dias

  • Analysis Of Financial Data.

    Koop,Gary

    Wiley & Sons Ltd. (2005)

    valoración

    • EAN: 9780470013212
    • Páginas: 288
    • Fecha de edición: 2005

    pvp.49,15 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Analysis of Financial Data teaches basic methods and techniques of data analysis to finance students. It covers many of the major tools used by the financial economist i.e. regression and time series methods including discussion ...

  • New Ways For Managing Global Financial Risks.

    Hyman, Michael

    Wiley & Sons Ltd. (2006)

    valoración

    • EAN: 9780470012888
    • Páginas: 149
    • Fecha de edición: 2006

    pvp.91,00 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    New Ways for Managing Global Financial Risks is about the creation of new financial instruments which enable companies of all kind to manage their non-core global financial risks in a more cost efficient, hedge efficient, ...

  • Essentials Of Financial Risk Management.

    Horcher, Karen

    Wiley & Sons Ltd. (2005)

    valoración

    • EAN: 9780471706168
    • Páginas: 256
    • Fecha de edición: 2005

    pvp.49,25 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    A concise introduction to financial risk management strategies, policies, and techniques This ideal guide for business professionals focuses on strategic and management issues associated with financial risk. Essentials of Financial Risk Management identifies risk-mitigation policies ...

  • Numerical Methods In Finance.

    Ben-Ameur, Hatem Breton, Michele

    Springer (2005)

    valoración

    • EAN: 9780387251172
    • Páginas: 258
    • Fecha de edición: 2005

    pvp.58,60 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    The use of mathematical models and numerical techniques in finance is a growing practice, and an increasing number of applied mathematicians are working on applications in finance and business. Numerical Methods in Finance presents some ...