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Ebook Financial dollarization: The policy agenda
Ebook "Financial dollarization: The policy agenda" provides a rigorous and balanced perspective on the causes and implications of dollarization, and the basic policies and options to deal with it: the adaptation of the monetary and prudential frameworks, the development of local-currency substitutes, and the scope for limiting dollarization through administrative restrictions.
349 p apd 27/11/2023 17 0
Từ khóa: Financial dollarization, The policy agenda, Financial dollarization equilibria, Monetary policy, Prudential policy, Managing systemic liquidity risk, Financially dollarized economies
Ebook Finance and world order: Financial fragility, systemic risk, and transnational regime
Ebook "Finance and world order: Financial fragility, systemic risk, and transnational regime" advocates the transnational regime theory, which provides an instrument for conceptualizing the internationalization of private finance and directing attention to a new way of structuring the international environment. It also advances a policy prescription for helping maintain order and stability in the global financial market.
126 p apd 27/11/2023 12 0
Từ khóa: Finance and world order, Financial fragility, Systemic risk, Transnational regime, International finance, International economic relations, Transnational regime theory, Debt crisis management, Cross-border netting scheme
Part 1 of ebook "Practical methods of financial engineering and risk management: Tools for modern financial professionals" provides readers with contents including: chapter 1 - financial instruments; chapter 2 - building a yield curve; chapter 3 - statistical analysis of financial data; chapter 4 - stochastic processes;...
199 p apd 28/10/2023 35 0
Từ khóa: Practical methods of financial engineering and risk management, Financial engineering, Risk management, Financial instruments, Building a yield curve, Financial data, Stochastic processes
Continued part 1, part 2 of ebook "Practical methods of financial engineering and risk management: Tools for modern financial professionals" provides readers with contents including: chapter 5 - optimal hedging monte carlo methods; chapter 6 - introduction to credit derivatives; chapter 7 - risk types, CVA, basel III, and OIS discounting; chapter 8 - power laws and extreme value theory; chapter 9 - hedge fund replication;...
180 p apd 28/10/2023 26 0
Từ khóa: Practical methods of financial engineering and risk management, Financial engineering, Risk management, Optimal hedging monte carlo methods, Credit derivatives, Hedge fund replication
Ebook Risk management in finance: Six sigma and other next-generation techniques - Part 1
Part 1 of ebook "Risk management in finance: Six sigma and other next-generation techniques" provides readers with contents including: data governance in financial risk management; information risk and data quality management; total quality management using lean six sigma; reducing risk to financial operations through information technology and infrastructure risk management; an operational risk management framework for all organizations;...
183 p apd 28/10/2023 32 0
Từ khóa: Risk management in finance, Six sigma techniques, Financial risk management, Data governance maturity model, Data quality management, Managing information risk, Lean six sigma, Infrastructure risk management
Ebook Risk management in finance: Six sigma and other next-generation techniques - Part 2
Continued part 1, part 2 of ebook "Risk management in finance: Six sigma and other next-generation techniques" provides readers with contents including: analytics: secrets to deriving business value and insights out of information; embedded predictive analytics - transforming risk management from review function to competitive advantage; reducing the financial risks in litigation and legal discovery; the circle of trust; reducing liability...
175 p apd 28/10/2023 27 0
Từ khóa: Risk management in finance, Six sigma techniques, Financial risk management, Embedded predictive analytics, Transforming risk management, Financial services industry, Cross-enterprise solution, Traditional business measures
Ebook Finance - Capital Markets, Financial Management, and Investment Management: Part 2
Ebook Finance - Capital Markets, Financial Management, and Investment Management: Part 2 presents the following content: The Corporate Financing Decision; Financial Engineering, Asset Securitization, and Project Financing; Capital Budgeting: Process and Cash Flow Estimation;...Please refer to the documentation for more details.
439 p apd 26/09/2023 22 0
Từ khóa: Ebook Finance, Capital Markets, Financial Management, Investment Management, Capital Budgeting Techniques, Managing Current Assets, Financial Risk Management
Ebook Swing trading for dummies: Part 2
Ebook Swing trading for dummies: Part 2 presents the following content: Chapter 7: Understanding a company, inside and out; Chapter 8: Finding companies based on their fundamentals; Chapter 9: Six tried-and-true steps for analyzing a company’s stock; Chapter 10: Strengthening your defense: managing risk; Chapter 11: Fine-tuning your entries and exits; Chapter 12: Walking through a trade, swing-style; Chapter 13: Evaluating your performance;...
202 p apd 26/08/2023 30 0
Từ khóa: Ebook Swing trading for dummies, Swing trading for dummies, Swing trading, Company’s stock, Managing risk, Company’s financial statements, Swing trader’s strategic plan
Ebook The future of finance: A new model for banking and investment – Part 2
Ebook The future of finance: A new model for banking and investment – Part 2 presents the following content: Chapter 7: long-term sustainable investment guidelines; chapter 8: bank asset-liability and liquidity risk management; chapter 9: a sustainable bank business model: capital, liquidity, and leverage.
107 p apd 21/07/2023 31 0
Từ khóa: Ebook The future of finance, Banks and banking, Portfolio management, Global financial crisis, The financial crash, Long-term sustainable investment guidelines, Bank asset-liability and liquidity risk management
Ebook Corporate finance (8th edition): Part 2
Ebook Corporate finance (8th edition): Part 2 presents the following content: Valuation and capital budgeting for the levered firm, cash management, credit management, mergers and acquisitions, financial distress, international corporate finance, warrants and convertibles, derivatives and hedging risk, options and corporate finance,...and other contents.
491 p apd 28/06/2023 19 0
Từ khóa: Corporate finance, The levered firm, Cash management, Financial distress, International corporate finance, Hedging risk, Corporate finance, Warrants and convertibles
Ebook Financial institutions management (6th edition): Part 1
Part 1 book "Financial institutions management" has contents: The financial services industry - insurance companies; the financial services industry - mutual funds and hedge funds; risks of financial intermediation, interest rate risk, market risk, the financial services industry - finance companies,...and other contents.
394 p apd 28/06/2023 16 0
Từ khóa: Financial institutions management, The financial services industry, Insurance companies, Financial intermediation, Interest rate risk, Market risk, The financial services industry
Ebook Financial institutions management (6th edition): Part 2
Part 2 book "Financial institutions management" has contents: off-balance-sheet risk, foreign exchange risk, sovereign risk, technology and other operational risks, liquidity risk, capital adequacy, product diversification, geographic expansion, liability and liquidity management,...and other contents.
502 p apd 28/06/2023 15 0
Từ khóa: Financial institutions management, Foreign exchange risk, Sovereign risk, Liquidity management, Capital adequacy, Product diversification, Geographic expansion
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