Libros de Inversión y Financiación

Mostrando 1314 libros encontrados. (66 páginas).


  • Achieving Post-Merger Success: a Stakeholder'S Guide To Cultural Due Diligence, Assessment, And Integrat

    Carleton, Robert Lineberry, Claude

    Jossey - Bass Publishers (2004)

    valoración

    • EAN: 9780787964900
    • Páginas: 213
    • Fecha de edición: 2004

    pvp.56,00 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    'The failure rate of mergers and acquisitions is unreasonable, unacceptable, and unnecessary,' say Claude S. Lineberry and J. Robert Carleton in this much-needed resource, which outlines their unique, proven, and practical process for increasing the ...

  • Operational Risk Management - Six Sigma, Capital Management, Ratings And Financial Engineering.

    Cruz, Marcelo G.

    Wiley & Sons Ltd. (2004)

    valoración

    • EAN: 9780470871164
    • Páginas: 256
    • Fecha de edición: 2004

    pvp.102,95 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    A comprehensive guide that links traditional finance theories such as portfolio theory to operational risk
    The book focuses on operational risk management techniques or how to architect the management of this risk. Operational Risk Management ...

  • Applied C In Financial Markets.

    Worner, Martin

    Wiley & Sons Ltd. (2004)

    valoración

    • EAN: 9780470870617
    • Páginas: 256
    • Fecha de edición: 2004

    pvp.77,30 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Applied C# in Financial Markets covers all the aspects of C# relevant to practitioners working in financial sector. It contains a practical workshop which builds on the material in the book, guiding you through all ...

  • Finance For Strategic Decision Making: What Non-Fi Nancial Managers Need To Know.

    Nanda, V. Narayanan, M.P.

    Jossey - Bass Publishers (2004)

    valoración

    • EAN: 9780787965174
    • Páginas: 302
    • Fecha de edición: 2004

    pvp.37,50 €

    Sin Stock. Posibilidad entre 11 y 20 dias

  • Practical Portfolio Performance Measurement.

    Bacon, Carl

    Wiley & Sons Ltd. (2004)

    valoración

    • EAN: 9780470856796
    • Páginas: 256
    • Fecha de edición: 2004

    pvp.94,50 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    This book provides a clear introduction to the subject of performance measurement. Focusing more on the practical use and calculation of performance returns rather than the academic background it will help readers gain a clear ...

  • Risk Transfer: Derivatives In Theory And Practice.

    Culp, Christopher

    Wiley & Sons Ltd. (2004)

    valoración

    • EAN: 9780471464983
    • Páginas: 560
    • Fecha de edición: 2004

    pvp.111,60 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Based on an enormously popular "derivative instruments and applications" course taught by risk expert Christopher Culp at the University of Chicago, Risk Transfer will prepare both current practitioners and students alike for many of the ...

  • Detecting Earnings Management.

    Giroux, Gary

    Wiley & Sons Ltd. (2004)

    valoración

    • EAN: 9780471470861
    • Páginas: 326
    • Fecha de edición: 2004

    pvp.47,20 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Earnings management is one of the most significant areas of accounting given the contemporary scandal-plagued business environment. This focused treatment demonstrates how aggressive earnings management can be detected using publicly available information.

  • Credit Derivatives: Applications, Pricing And Risk Management.

    Meissner, Gunter

    Blackwell Publishers (2005)

    valoración

    • EAN: 9781405126762
    • Páginas: 232
    • Fecha de edición: 2005

    pvp.77,50 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    The market for credit derivatives--financial instruments designed to transfer credit risk from one party to another--has grown exponentially in recent years, with volume expected to reach more than USD4. 8 trillion by 2004. With demand ...

  • The Shape Of Risk: a New Look At Risk Management.

    Fishkin, Charles Smithson, Charles

    Macmillan Publishers (2004)

    valoración

    • EAN: 9781403932884
    • Páginas: 250
    • Fecha de edición: 2004

    pvp.229,00 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    There is much excitement occurring in the field of risk management. New approaches and ideas are being developed round the identification, measurement and management of a wide range of business and financial risks. The reader ...

  • Investing In Corporate Bonds And Credit Risk.

    Hagenstein, Frank Mertz, Alexander Seifert, Jan

    Macmillan Publishers (2004)

    valoración

    • EAN: 9781403934697
    • Páginas: 200
    • Fecha de edición: 2004

    pvp.214,50 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Investing in Corporate Bonds and Credit Risk is a valuable tool for any corporate bond investor. All the most recent developments and strategies in investment in corporate bonds are analyzed included with qualitative and quantitative ...

  • Corporate Accountability: With Case Studies In Pension Funds And In The Banking Industry.

    Chorafas, Dimitris N.

    Macmillan Publishers Ltd. (2004)

    valoración

    • EAN: 9781403921420
    • Páginas: 256
    • Fecha de edición: 2004

    pvp.117,10 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Corporate accountability must be examined within the perspective of a company's business challenges. There is a synergy between shareholder value and the responsibilities of management. This book is based on an extensive research project done ...

  • Parimutual Applications In Finance: New Markets For New Risks.

    Baron, Ken Lange, Jeffrey

    Macmillan Publishers (2004)

    valoración

    • EAN: 9781403939500
    • Páginas: 175
    • Fecha de edición: 2004

    pvp.214,50 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Financial intermediaries supply derivatives to their customers when they can hedge the exposures from these transactions. A static hedge is typically employed by arranging an offsetting transaction with a different customer or a dynamic hedge ...

  • Cross-Border Investing: The Case Of Central And Eastern Europe.

    Djarova, Julia

    Kluwer Academic Publishers (2004)

    valoración

    • EAN: 9780792374749
    • Páginas: 284
    • Fecha de edición: 2004

    pvp.109,85 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Cross-Border Investing: The Case of Central and Eastern Europe offers a view that reflects two main hypotheses:

    You cannot understand foreign direct investment (FDI) trends and developments unless you understand the company's motives ...

  • Default Risk In Bond And Credit Derivatives Markets.

    Benkert, Christoph

    Springer (2004)

    valoración

    • EAN: 9783540220411
    • Páginas: 135
    • Fecha de edición: 2004

    pvp.38,00 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Due to the scarcity of reliable data, the existing literature on default risk still displays an imbalance between theoretical and empirical contributions. Consequently, the focus of this book is on empirical work. Within an intensity ...

  • Finanzas

    Bodie, Zvi Merton

    Pearson Educación (2004)

    valoración

    • EAN: 9789702600978
    • Páginas: 480
    • Fecha de edición: 2004

    pvp.44,95 €

    Sin Stock. Posibilidad entre 3 y 7 días

    Las finanzas y el sistema financiero. Asignación de tiempo y recursos. Modelos de valuación. Administración del riesgo y teoría de la cartera. Valuación de activos. Finanzas corporativas

  • Applied Mergers And Acquisitions, University Edition

    Bruner, Robert

    Wiley & Sons Ltd. (2004)

    valoración

    • EAN: 9780471395348
    • Páginas: 1029
    • Fecha de edición: 2004

    pvp.109,20 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    "A well written and comprehensive journey into M&A...an essential reference for any M&A practitioner...this isn't just a book about great thoughts and process, but rather how to turn insight into deals, and deals into lasting ...

  • The Theory And Practice Of Investment Management Workbook

    Fabozzi, Frank J.

    Wiley & Sons Ltd. (2004)

    valoración

    • EAN: 9780471489504
    • Páginas: 420
    • Fecha de edición: 2004

    pvp.58,00 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    A practical workbook that promotes the understanding of investment management The Workbook includes a full answer key and brief chapter summaries, making the information that readers attain from The Theory and Practice of Investment Management ...

  • Financial Management And Analysis Workbook

    Fabozzi, Frank J.

    Wiley & Sons Ltd. (2004)

    valoración

    • EAN: 9780471477617
    • Páginas: 448
    • Fecha de edición: 2004

    pvp.57,49 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    This comprehensive workbook and study guide is the ideal complement to the bestselling Financial Management and Analysis, Second Edition the definitive guide to the fundamentals of financial management and analysis. Financial Management and Analysis Workbook, ...

  • Introduction To Modern Portfolio Optimization With Nuopt And S-Plus.

    Scherer, Bernd

    Springer Verlag (2005)

    valoración

    • EAN: 9780387210162
    • Páginas: 405
    • Fecha de edición: 2005

    pvp.69,50 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    In recent years, portfolio optimization and construction methodologies have become an increasingly critical ingredient of asset and fund management while at the same time portfolio risk assessment has become an essential ingredient in risk management, ...

  • Finanzas con Excel.

    Hayat, Souad San Millan, Antonio

    Mcgraw-Hill Interamericana de España (2004)

    valoración

    • EAN: 9788448129347
    • Páginas: 434
    • Fecha de edición: 2004

    pvp.58,68 €

    Sin Stock. Posibilidad entre 3 y 7 días

    En la primera edición ya han sido muchos los lectores que han logrado aprender cómo una hoja de cálculo puede ayudarles al desarrollo de problemas financieros, y han conseguido optimizar el resultado de su trabajo. ...