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 Новинки
Ford Maverick since 2022, service e-manual
Ford Maverick since 2022, service e-manual
 
 
 Финансовый менеджмент
    Наименование 
 Fundamentals of Global Operations Management
426179
 Fundamentals of Global Operations Management

 Автор: Группа авторов

  Fundamentals of Global Operations Management, 2nd Edition provides an overview of the fundamentals of the operations functions and is suitable for people working in any organization in the financial markets. Key issues affecting the industry are covered, such as operational risk management, traditional and new market environments, mergers and alliances, and integration across clearing and settlement. It also looks at how globalisation is present
...
 The Management of Mergers and Acquisitions
426178
 The Management of Mergers and Acquisitions

 Автор: Группа авторов

  The Management of Mergers and Acquisitions is far away from the perfect, polished presentations of the merchant bankers in which value creation is all too often just the result of a well-executed PowerPoint presentation. Philippe Very takes us into the real world where management is the key word – management of the expected and the unexpected, of rationality and emotions, of processes and people. He combines the expertise of the researcher with
...
 The Enlargement of the European Union
426177
 The Enlargement of the European Union

 Автор: Ine Lejeune

  The Enlargement of the European Union: A Guide for the Entrepreneur is a practical reference book for business and financial investors looking at changes and opportunities arising from the expansion of Europe. It provides coverage of all the important issues for business and financial communities, setting out a framework for senior management to checklist their own situations and take advantage of a market that contains 450 million customers.
...


 The Split Capital Investment Trust Crisis
426089
 The Split Capital Investment Trust Crisis

 Автор: Группа авторов

  Split capital investment trusts (splits) became fashionable in the late 1990s but the splits boom led to some spectacular collapses as the bear market unfolded. Despite warnings from certain analysts, academics and journalists, over 20 splits have gone bust leaving many private investors seeking redress. A major FSA investigation is now underway. This book, with contributions from specialists intimately involved with the crisis, provides an in-d
...
 Finite Difference Methods in Financial Engineering
426088
 Finite Difference Methods in Financial Engineering

 Автор: Группа авторов

  The world of quantitative finance (QF) is one of the fastest growing areas of research and its practical applications to derivatives pricing problem. Since the discovery of the famous Black-Scholes equation in the 1970's we have seen a surge in the number of models for a wide range of products such as plain and exotic options, interest rate derivatives, real options and many others. Gone are the days when it was possible to price these derivativ
...
 Practical Portfolio Performance Measurement and Attribution
426087
 Practical Portfolio Performance Measurement and Attribution

 Автор: Группа авторов

  Practical Performance Measurement and Attribution 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 understanding of the role and implications of performance measurement in today's financial environment. «Carl’s book is a ‘must have’ resource – the complete A to Z of the increasing
...
 Stochastic Claims Reserving Methods in Insurance
426086
 Stochastic Claims Reserving Methods in Insurance

 Автор: Michael Merz

  Claims reserving is central to the insurance industry. Insurance liabilities depend on a number of different risk factors which need to be predicted accurately. This prediction of risk factors and outstanding loss liabilities is the core for pricing insurance products, determining the profitability of an insurance company and for considering the financial strength (solvency) of the company. Following several high-profile company insolvencies, re
...
 Market Risk Analysis, Practical Financial Econometrics
426085
 Market Risk Analysis, Practical Financial Econometrics

 Автор: Группа авторов

  Written by leading market risk academic, Professor Carol Alexander, Practical Financial Econometrics forms part two of the Market Risk Analysis four volume set. It introduces the econometric techniques that are commonly applied to finance with a critical and selective exposition, emphasising the areas of econometrics, such as GARCH, cointegration and copulas that are required for resolving problems in market risk analysis. The book covers materi
...
 The Handbook of Insurance-Linked Securities
426084
 The Handbook of Insurance-Linked Securities

 Автор: Pauline Barrieu

  Luca Albertini and Pauline Barrieu are to be congratulated on this volume. Written in a period where structured projects in finance are having a difficult time, it is worthwhile to return to the cradle of securitisation: insurance. Spread out over three parts (life, non- life, and tax and regulatory issues) the 26 chapters, written mainly by practitioners, give an excellent overview of this challenging field of modern insurance. Methodology and
...
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