Libros de Sistema Financiero
Mostrando 2849 libros encontrados. (143 páginas).
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Corporate Finance "European Edition"
Hillier, David Jaffe, J. Jordan, Bradford D. Ross, Stephen A. Westerfield, Randolph W.
UK-Mcgraw-Hill (2013)
- EAN: 9780077139148
- Páginas: 898
- Fecha de edición: 2013
pvp.34,95 €
En stock
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Medición de riesgo de credito "Desarrollo de una nueva herramienta"
Caballo Trebol, Álvaro
Universidad Pontificia Comilla (2013)
- EAN: 9788484684787
- Páginas: 196
- Fecha de edición: 2013
pvp.20,00 €
Sin Stock. Posibilidad entre 3 y 7 días
La relevancia de los objetivos de esta investigación viene potenciada por la actual crisis financiera, que ha provocado en muchos ámbitos la revisión de elementos presentes en las estructuras de distintos sistemas económicos, jurídicos y ...
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La recapitulación de las entidades financieras
Calvo Vérgez, Juan
Dykinson S.L. (2013)
- EAN: 9788490316061
- Páginas: 506
- Fecha de edición: 2013
pvp.39,00 €
Sin Stock. Posibilidad entre 3 y 7 días
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Finance at the Threshold
Houghton Budd, Christopher
Gower Publishing (2011)
- EAN: 9780566092114
- Páginas: 260
- Fecha de edición: 2011
pvp.87,85 €
Sin Stock. Posibilidad entre 11 y 20 dias
Every banking crisis, whatever its particular circumstances, has two features in common with every previous one. Each has been preceded by a period of excessive monetary ease, and by ill thought out regulatory changes. For ...
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Random Processes in Physics and Finance
Melvin, Max
Oxford University Press. (2013)
- EAN: 9780199673803
- Páginas: 344
- Fecha de edición: 2013
pvp.50,75 €
Sin Stock. Posibilidad entre 11 y 20 dias
This text is aimed at professionals and students working on random processes in various areas, including physics and finance. The first author, Melvin Lax (1922-2002), was a distinguished Professor of Physics at City College of ...
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Handbook of Financial Risk Management "Simulations and Case Studies"
Chan, Ngai Hang
Wiley & Sons Ltd. (2013)
- EAN: 9780470647158
- Páginas: 432
- Fecha de edición: 2013
pvp.135,20 €
Sin Stock. Posibilidad entre 11 y 20 dias
This authoritative handbook illustrates practical implementation of simulation techniques in the banking and financial industries through use of real-world, time-sensitive applications. Striking a balance between theory and practice, it demonstrates how simulation algorithms can be ...
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Financial Modeling and Valuation
Pignataro, Paul
Wiley & Sons Ltd. (2013)
- EAN: 9781118558768
- Páginas: 432
- Fecha de edición: 2013
pvp.93,00 €
Sin Stock. Posibilidad entre 11 y 20 dias
Written by the Founder and CEO of the prestigious New York School of Finance, this book schools you in the fundamental tools for accurately assessing the soundness of a stock investment. Built around a full-length ...
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Investor Relations Principles and International Best Practices in Financial Communications
Guimard, Anne
Palgrave (2013)
- EAN: 9781137337399
- Páginas: 240
- Fecha de edición: 2013
pvp.53,30 €
Sin Stock. Posibilidad entre 11 y 20 dias
Investor Relations provides a wealth of both strategic and tactical guidance on how to understand and implement Investor Relations from an international perspective. It takes readers through the essential steps for understanding, conveying and, ultimately, ...
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Health Economics and Financing
Getzen, T.
Wiley & Sons Ltd. (2013)
- EAN: 9781118184905
- Páginas: 468
- Fecha de edición: 2013
pvp.69,95 €
Sin Stock. Posibilidad entre 11 y 20 dias
Now in a new edition, this textbook is a primer for the economic analysis of medical markets that engages the central economic issues of the health economics and financing field. It provides a comprehensive look ...
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A Workout in Computational Finance
Aichinger, Michael Binder, Andreas
Wiley & Sons Ltd. (2013)
- EAN: 9781119971917
- Páginas: 336
- Fecha de edición: 2013
pvp.81,15 €
Sin Stock. Posibilidad entre 11 y 20 dias
A comprehensive introduction to various numerical methods used in computational finance today Quantitative skills are a prerequisite for anyone working in finance or beginning a career in the field, as well as risk managers. A ...
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Fundamentos de Administración Financiera
Besley, S.
Cengage Learning Inc (2009)
- EAN: 9789708300148
- Páginas: 834
- Fecha de edición: 2009
pvp.54,00 €
Sin Stock. Posibilidad entre 3 y 7 días
Este libro ha sido por décadas el líder para cursos introductorios de finanzas. Introdúzcase al impacto y la importancia de la administración financiera en los negocios de hoy con la nueva edición de este importante ...
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Finanzas corporativas
Graham, John
Cengage Learning Inc (2011)
- EAN: 9781111340667
- Páginas: 974
- Fecha de edición: 2011
pvp.59,00 €
Sin Stock. Posibilidad entre 11 y 20 dias
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From Financial Crisis to Stagnation "The Destruction of Shared Prosperity and the Role of Economics"
Palley, Thomas I.
Cambridge University Press (2013)
- EAN: 9781107612464
- Páginas: 256
- Fecha de edición: 2013
pvp.22,74 €
Sin Stock. Posibilidad entre 11 y 20 dias
The US economy today is confronted with the prospect of extended stagnation. This book explores why. Thomas I. Palley argues that the Great Recession and destruction of shared prosperity is due to flawed economic policy ...
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Handbook on Systemic Risk
Fouque, Jean Pierre
Cambridge University Press (2013)
- EAN: 9781107023437
- Páginas: 992
- Fecha de edición: 2013
pvp.126,40 €
Sin Stock. Posibilidad entre 11 y 20 dias
The Handbook on Systemic Risk, written by experts in the field, provides researchers with an introduction to the multifaceted aspects of systemic risks facing the global financial markets. The Handbook explores the multidisciplinary approaches to ...
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Innovation and Finance
Burghof, Hans-Peter Pyka, Andreas
Routledge (2013)
- EAN: 9780415696852
- Páginas: 200
- Fecha de edición: 2013
pvp.108,15 €
Sin Stock. Posibilidad entre 11 y 20 dias
Innovation and finance are in a symbiotic and twin-track relationship: a well-functioning financial system spurs innovation by identifying and funding stimulating entrepreneurial activities which trigger economic growth. Innovations also open up profitable opportunities for the ...
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The Risk in Risk Management
Vit, Gregory B.
Routledge (2013)
- EAN: 9780415509855
- Páginas: 148
- Fecha de edición: 2013
pvp.58,10 €
Sin Stock. Posibilidad entre 11 y 20 dias
Banks take very large risks by consistently herding in the same perilous directions while believing they are safe and unique. This book presents a risk management framework to understand conformity and deviance within investment banks ...
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Advanced Credit Risk Analysis and Management
Joseph, Ciby
Wiley & Sons Ltd. (2013)
- EAN: 9781118604915
- Páginas: 448
- Fecha de edición: 2013
pvp.81,10 €
Sin Stock. Posibilidad entre 11 y 20 dias
Credit is essential in the modern world and creates wealth, provided it is used wisely. The Global Credit Crisis during 2008/2009 has shown that sound understanding of underlying credit risk is crucial. If credit freezes, ...
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Sovereign Wealth Funds "Legitimacy, Governance, and Global Power"
Clark, Gordon L. Dixon, Adam D. Monk, Ashby H.B.
Princeton University Press (2013)
- EAN: 9780691142296
- Páginas: 236
- Fecha de edición: 2013
pvp.37,80 €
Sin Stock. Posibilidad entre 11 y 20 dias
The worldwide rise of sovereign wealth funds is emblematic of the ongoing transformation of nation-state economic prospects. Sovereign Wealth Funds maps the global footprints of these financial institutions, examining their governance and investment management, and ...
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The Economics of Commodity Markets
Chevallier, Julien Ielpo, Florian
Wiley & Sons Ltd. (2013)
- EAN: 9781119967910
- Páginas: 360
- Fecha de edición: 2013
pvp.81,10 €
Sin Stock. Posibilidad entre 11 y 20 dias
As commodity markets have continued their expansion an extensive and complex financial industry has developed to service them. This industry includes hundreds of participating firms, including asset managers, brokers, consultants, verification agencies and a myriad ...
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Risk Management and Simulation
Gupta, Aparna
Crc Press Inc. (2013)
- EAN: 9781439835944
- Páginas: 532
- Fecha de edición: 2013
pvp.86,50 €
Sin Stock. Posibilidad entre 11 y 20 dias
The challenges of the current financial environment have revealed the need for a new generation of professionals who combine training in traditional finance disciplines with an understanding of sophisticated quantitative and analytical tools. Risk Management ...

