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Ebook Multinational financial management (Tenth edition): Part 2
Continued part 1, part 2 of ebook "Multinational financial management" provides readers with contents including: foreign exchange risk management; financing the multinational corporation; foreign investment analysis; multinational working capital management; measuring and managing economic exposure; international financing and national capital markets; international portfolio investment; corporate strategy and foreign direct investment;...
373 p apd 26/03/2024 15 0
Từ khóa: Multinational financial management, International business enterprises, Foreign exchange risk management, Financing the multinational corporation, Foreign investment analysis, Multinational working capital management, International portfolio investment
Ebook "Profitable marketing communications: A guide to marketing return on investment" introduces investment disciplines and strategies to marketing practices and gives insight into how marketers have delivered outstanding marketing return on investment (ROI) for the companies. Finally, it provides a blueprint to maximize the returns from marketing communications.
224 p apd 27/01/2024 20 0
Từ khóa: Profitable marketing communications, Marketing management, Capital investments evaluation, Rate of return, Studying the market, Marketing ROI stars, Communication investment portfolio
Ebook The Basics of Finance: Part 1
Ebook The Basics of Finance: Part 1 presents the following content: What Is Finance?; Financial Instruments, Markets, and Intermediaries; The Financial System’s Cast of Characters. Please refer to the documentation for more details.
78 p apd 27/01/2024 12 0
Từ khóa: Ebook The Basics of Finance, The Basics of Finance, An Introduction to FinancialMarkets, Business Finance, Portfolio Management, Financial Instruments
Ebook "Stochastic optimization methods in finance and energy: New financial products and energy market strategies" presents a collection of contributions dedicated to applied problems in the financial and energy sectors that have been formulated and solved in a stochastic optimization framework. The invited authors represent a group of scientists and practitioners, who cooperated in recent years to facilitate the growing penetration of...
499 p apd 27/01/2024 14 0
Từ khóa: Stochastic optimization methods in finance and energy, Stochastic optimization methods, Financial products, Energy market strategies, Hedging market, Corporate bond portfolios, Dynamic portfolio management
Ebook Strategic risk management: A practical guide to portfolio risk management – Part 1
Ebook Strategic risk management: A practical guide to portfolio risk management – Part 1 includes contents: Chapter 1 strategic risk management framework, chapter 2 governance risk, chapter 3 investment beliefs, chapter 4 fund’s purpose, chapter 5 strategic asset allocation, chapter 6 hedge funds, chapter 7 private equity, chapter 8 benchmarks, chapter 9 tactical asset allocation.
154 p apd 21/07/2023 38 0
Từ khóa: Ebook Strategic risk management, Strategic risk management, Portfolio risk management, Governance risk, Investment beliefs, Strategic asset allocation
Ebook Strategic risk management: A practical guide to portfolio risk management – Part 2
Ebook Strategic risk management: A practical guide to portfolio risk management – Part 2 includes contents: Chapter 10 Active versus passive management, chapter 11 passive management, chapter 12 active global equities structure, chapter 13 active global fixed income structure, chapter 14 manager selection, chapter 15 execution, chapter 16 review and monitoring, chapter 17 case study 1 - Defined benefit plan, chapter 18 case study 2 - DC...
146 p apd 21/07/2023 34 0
Từ khóa: Ebook Strategic risk management, Strategic risk management, Portfolio risk management, Passive management, Active global equities structure, Active global fixed income structure
Ebook The future of finance: A new model for banking and investment – Part 1
Ebook The future of finance: A new model for banking and investment – Part 1 presents the following content: Chapter 1: globalization, emerging markets, and the savings glut; chapter 2: the rise of derivatives and systemic risk; chapter 3: the too-big-to-fail bank, moral hazard, and macroprudential regulation; chapter 4: corporate governance and remuneration in the banking industry; chapter 5: bank capital safeguards: additional capital...
120 p apd 21/07/2023 36 0
Từ khóa: Ebook The future of finance, Banks and banking, Portfolio management, Global financial crisis, The financial crash, Emerging markets, Macroprudential regulation
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
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