Libros de Sistema Financiero

Mostrando 2864 libros encontrados. (144 páginas).


  • Credit Risk, Capital Structure And The Pricing Of Equity Options

    Hanke, Michael

    Springer Verlag (2003)

    valoración

    • EAN: 9783211005200
    • Páginas: 208
    • Fecha de edición: 2003

    pvp.89,00 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    This book is on option pricing in firm-value-based ("structural") credit risk models. Using modern techniques (change of numeraire) instead of directly solving partial differential equations (the main approach in the literature), closed-form pricing formulae for ...

  • Financial Markets Theory

    Barucci, Emilio

    Springer (2003)

    valoración

    • EAN: 9781852334697
    • Páginas: 467
    • Fecha de edición: 2003

    pvp.99,90 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Financial Markets Theory presents classical asset pricing theory, a theory composed of milestones such as portfolio selection, risk aversion, fundamental asset pricing theorem, portfolio frontier, CAPM, CCAPM, APT, the Modigliani-Miller Theorem, no arbitrage/risk neutral evaluation ...

  • A Trading Nation: Canadian Trade Policy From Colonialism To Globalization

    Hart, Michael

    University of British Columbia Press (2003)

    valoración

    • EAN: 9780774808958
    • Páginas: 576
    • Fecha de edición: 2003

    pvp.39,90 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Canada has always been a trading nation. From the early days of fur and fish, to the present, when a remarkable 90 per cent of its gross national product is attributable to exports and imports, ...

  • Theory Of Financial Risk And Derivative Pricing: From Statistical Physics To Risk Management

    Bouchaud, Jean Philippe

    Cambridge University Press (2003)

    valoración

    • EAN: 9780521819169
    • Páginas: 379
    • Fecha de edición: 2003

    pvp.89,90 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Risk control and derivative pricing have become of major concern to financial institutions. The need for adequate statistical tools to measure and anticipate the amplitude of the potential moves of financial markets is clearly expressed, ...

  • Opa. el Control Politico de las Sociedades Cotizadas.

    Cordoba Bueno, Miguel

    International Thomson Publishi (2003)

    valoración

    • EAN: 9788497322447
    • Páginas: 277
    • Fecha de edición: 2003

    pvp.18,70 €

    Sin Stock. Posibilidad entre 3 y 7 días

    El reciente cambio legislativo producido en abril de este año ha modificado notablemente el marco jurídico de referencia de las ofertas públicas de adquisición de valores. En este libro se analizan los efectos que estos ...

  • The Statistical Mechanics Of Financial Markets.

    Voit, Johannes

    Springer Verlag (2003)

    valoración

    • EAN: 9783540009788
    • Páginas: 287
    • Fecha de edición: 2003

    pvp.59,50 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Parallels between physics and finance were established in a 100-year-long interaction of both disciplines. This study examines these parallels as well as research results on capital markets by statistical physics. The random walk, well known ...

  • Tipos de Cambio y Crisis Financieras.

    Rodriguez Prada, Gonzalo

    Universidad Alcala (2003)

    valoración

    • EAN: 9788481385526
    • Páginas: 232
    • Fecha de edición: 2003

    pvp.12,00 €

    Sin Stock. Posibilidad entre 3 y 7 días

    Ver indice.

  • Operation Risk Control With Basel Ii. Basic Principles And Capital Requirements.

    Chorafas, Dimitris N.

    Butterworth-Heinemann (2004)

    valoración

    • EAN: 9780750659093
    • Páginas: 357
    • Fecha de edición: 2004

    pvp.109,90 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    This text assists risk professionals in preparing their institution to comply with the New Capital Adequacy Framework issued by the Basle Committee on Banking Supervision, which becomes mandatory from January 1, 2006.

  • Credit Risk: From Transaction To Portfolio Management

    Kimber, Andrew

    Butterworth-Heinemann (2004)

    valoración

    • EAN: 9780750656672
    • Páginas: 256
    • Fecha de edición: 2004

    pvp.109,90 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    This title strives to protect the capital and reputation of the bank while preserving its franchise and optimising long-term profitability. These goals are achieved by recommending suitable credit policies and guidelines; performing due diligence on ...

  • Requerimientos Informativos de las Empresas Cotizadas

    Larran, Manuel

    Piramide (2003)

    valoración

    • EAN: 9788436817485
    • Páginas: 107
    • Fecha de edición: 2003

    pvp.14,50 €

    Sin Stock. Posibilidad entre 3 y 7 días

    Esta obra describe las obligaciones informativas que tienen que cumplir las compañías que cotizan en bolsa para garantizar la transparencia y eficacia de los mercados. Estos requerimientos se presentan en tres bloques: información anual, información ...

  • International Capital Flows In Calm And Turbulent Times.

    Cailloux, Jacques Gottschalk, Ricardo Griffith Jones, Stephany

    Michigan U.P. (2003)

    valoración

    • EAN: 9780472113095
    • Páginas: 352
    • Fecha de edición: 2003

    pvp.93,85 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    International Capital Flows in Calm and Turbulent Times analyzes the financial crises of the late 1990s and draws attention to the type of lenders and investors that triggered and deepened the crises. It concentrates on ...

  • Foreign Direct Investment In The Real And Financial Sector Of Industrial Countries.

    Herrmann, Heinz Lipsey, Richard G.

    Springer Verlag (2003)

    valoración

    • EAN: 9783540005100
    • Páginas: 366
    • Fecha de edición: 2003

    pvp.112,00 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    The international integration of national economies is a dominant feature of the present time. This book brings together papers on the determinants and consequences of foreign direct investment (FDI) in the real and financial sectors ...

  • Advances In Portfolio Construction And Implementation (Quantitative Finance Series).

    Satchell, Stephen Scowcroft, Alan

    Butterworth-Heinemann (2003)

    valoración

    • EAN: 9780750654487
    • Páginas: 416
    • Fecha de edición: 2003

    pvp.109,85 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    "Advances in Portfolio Construction and Implementation" covers how to construct portfolios, addressing issues such as measuring portfolio risk, alternatives to mean variance analysis, expected returns forecasting, the construction of global portfolios, and hedge portfolios (funds). ...

  • The Economist. Essential Finance.

    Gibson, Nigel

    Profile Books (2003)

    valoración

    • EAN: 9781861975300
    • Páginas: 314
    • Fecha de edición: 2003

    pvp.21,95 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Developed from the long-running, successful pocket series, this new Economist essential A-Z series is launched in Spring 2003 in a strikingly attractive paper back format, with flaps and distinctive red end papers. Following an introduction ...

  • Getting Started In Bonds

    Wright, Sharon

    Wiley & Sons Ltd. (2003)

    valoración

    • EAN: 9780471271239
    • Páginas: 272
    • Fecha de edición: 2003

    pvp.29,85 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    For the individual investor, bonds can be something of a mystery. Explaining these products, from 30 year treasury notes to high-yield junk bonds, this title examines the subject in easy-to-understand language so that the investor ...

  • The Big Mac Index. Applications Of Purchasing Power Parity

    Ong, Li Liang

    Macmillan Publishers (2003)

    valoración

    • EAN: 9781403903105
    • Páginas: 126
    • Fecha de edición: 2003

    pvp.79,90 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    PPP is one of the most widely researched areas in international finance and one of the most controversial in the theory of exchange rate determination. This book demonstrates the applications of Purchasing Power Parity in ...

  • A Practical Guide To Collateral Management In The Otc Derivatives Market

    Davenport, Penny

    Macmillan Publishers (2003)

    valoración

    • EAN: 9781403912039
    • Páginas: 304
    • Fecha de edición: 2003

    pvp.239,90 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    This is the first book of its kind on the market and is aimed at collateral management professionals in the OTC derivatives markets. It is a guide to the key topics involved in establishing and ...

  • Foreign Exchange Primer.

    Shamah, Shani

    Wiley & Sons Ltd. (2003)

    valoración

    • EAN: 9780470851623
    • Páginas: 192
    • Fecha de edición: 2003

    pvp.64,90 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Introduces the novice to the practical skills necessary to understand the foreign exchange market. It gives a clear understanding of how this market functions, offering a practical guide to all the main products of the ...

  • Country Risk Assessment . a Guide To Global Investment Strategy.

    Bouchet, Michel Clark, E.

    Wiley & Sons Ltd. (2003)

    valoración

    • EAN: 9780470845004
    • Páginas: 271
    • Fecha de edición: 2003

    pvp.99,85 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Country risk is a broad concept that comprises an underlying combination of economics, finance, geopolitics, sociology and history. This book provides managers, analysts and students with an understanding of the concepts and methodologies surrounding country ...

  • Credit Derivatives Pricing Models: Models, Pricing & Implementation.

    Schonbucher, Philipp

    Wiley & Sons Ltd. (2003)

    valoración

    • EAN: 9780470842911
    • Páginas: 375
    • Fecha de edición: 2003

    pvp.127,40 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    The purpose of this book is to provide a comprehensive overview of the state-of-the-art in credit risk modelling as applied to the pricing of credit derivatives.