Palgrave Macmillan, 2017. — 481 p. — ISBN: 978-3319665580. This book provides a comprehensive and practical guide to Islamic finance. It covers a broad range of important topics including Islamic banking, capital markets, Takaful, wealth management, Fintech in Islamic finance, compliance and governance issues. It begins by introducing Islamic banking, covering its objectives,...
Palgrave Macmillan, 2017. — 481 p. — ISBN: 978-3319665580. This book provides a comprehensive and practical guide to Islamic finance. It covers a broad range of important topics including Islamic banking, capital markets, Takaful, wealth management, Fintech in Islamic finance, compliance and governance issues. It begins by introducing Islamic banking, covering its objectives,...
Springer, 2019. — 354 p. — ISBN: 3030162982. This book provides an original account detailing the origins and components of a faith-based accounting system that was founded around 629 CE. By examining the historical development that the accounting systems underwent within the context of faith-based rules and values, the book explains what is meant by the term “faith-based...
Wiley, 2015. — 280 p. — ISBN: 978-1118990636. Can Islamic finance save the global system? Islamic Finance and the New Financial System describes how the adoption of Islamic finance principles in future regulatory decisions could help prevent future shocks in the global financial system. Using illustrations and examples to highlight key points in recent history, this book...
IGI Global – 2011, 398 pages
ISBN: 161520993X, 9781615209934
In todays global society, microfinance affords lower income individuals the opportunity to improve their economic situation through a democratic, market-based process. Advanced Technologies for Microfinance: Solutions and Challenges is the first book to systematically address technologys impact on microfinance. It...
2nd Edition. — Wiley, 2018. — 244 p. — ISBN: 978-1-119-45371-0. An essential framework for wealth management using behavioral finance Behavioral Finance for Private Banking provides a complete framework for wealth management tailored to the unique needs of each client. Merging behavioral finance with private banking, this framework helps you gain a greater understanding of your...
New York: Routledge, 2007. — 262 pp. — ISBN: 978-0-415-38463-6 Contents: Concepts and tools The world of finance The financial statements Financial concepts and tools Instruments and transactions Common and preferred stock Loans and bonds Investment funds Derivatives and insurance Corporate finance Participants and marketplaces Financial participants The global financial...
Palgrave Macmillan, 2016. — 173 p. — ISBN: 978-1137286611. This book provides researchers and students with an understanding of the basic legal tenets of the Islamic finance industry, studying the real economic effects of those tenets using the tools of the modern economic theory. Split into four parts, the book begins with an introduction to the history and a legal framework...
Wiley, 2018. — 319 p. — ISBN: 9781119421955. Strategic technology strategy for smaller financial institutions Breaking Digital Gridlock empowers credit unions and community banks to make the shift to digital—even without a seven-figure consulting budget. From leadership, to technology, to security, and more, this book provides effective, real-world strategies for taking the...
Apress, 2017. — 262 p. Infiltration was the name of the game in 2015. Indeed, both emotionally and economically, it was an extraordinary year. While the world horrifically responded to the spate of terrorist attacks within their own borders, such as in Paris and other parts of the globe, the world of finance bore witness to a new kind of infiltration within its own borders. The...
2nd edition. — Palgrave Macmillan, 2019. — 364 p. — (Finance and Capital Markets Series). — ISBN10: 303024539X; ISBN13: 978-3030245399. The 21st century has witnessed swift change in every sphere of the human endeavour. Regulatory re-alignment, digitalisation and economic and political developments have contributed to paradigm shift in banking, trade, finance and the shipping...
Routledge, 2022. — 424 p. Methods and techniques adopted in teaching, training, learning, research, professional development or capacity building are generally standardized, across most traditional disciplines, particularly within developing countries. This is not the case, however, when it comes to the Islamic discipline, and in particular in relation to the study of Islamic...
Oxford University Press, 2004. — 276 p. Why is the committee responsible for defining US monetary policy called the ‘Federal Open Market Committee’ (FOMC) and not ‘Federal Interest Rate Committee’ (FIRC), even though it undisputedly sets and announces a target for the overnight interest rate? Why did the Fed for around eighty years offer a borrowing facility to banks, the...
Stanford Economics and Finance, 2011. — 744 p. Entrepreneurial Finance: Strategy, Valuation, and Deal Structure applies the theory and methods of finance and economics to the rapidly evolving field of entrepreneurial finance. This approach reveals how entrepreneurs, venture capitalists, and outside investors can rely on academic foundations as a framework to guide decision...
Unpublished, 2008. — 134 p. Probability theory Derivatives Discrete time stochastic processes and pricing models Continuous time processes. Their connection to PDE Finer structure of financial time series
Bloomberg Press, 2010. — 224 p. — ASIN: 978-1449320836.
For traders trying to navigate the increasingly volatile credit default swap market, CDS Delivery Option provides worked-out examples, over 30 charts, a case study of Delphi, and detailed explanations of how the subprime crisis caused the credit crisis and the near collapse of the GSEs. The book includes detailed...
Inter-American Development Bank, 2006. — 343 p. Living with Debt focuses on how to manage sovereign debt safely and effectively. The report traces the history of sovereign borrowing in Latin America, releases a new data set on public debt, and analyzes the evolution of debt, highlighting the recent trend toward higher levels of domestic debt and lower external borrowing. The...
Random House, 2011. — 432 p. Stripping away the mystique from the world of investment and finance, this book is a layman's guide to reading and understanding the financial press and the markets and events that it covers. The author provides a valuable explanation of the workings of the financial world from money markets to commodity markets, privatisation to takeover bids. With an...
Routledge, 2017. — 258 p. — (Transformation and Innovation). — ISBN10: 1138094625; ISBN13: 978-1138094628. 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 many the recent hiatus in inter-bank lending has...
GPO, 2013. – 256 p. – ISBN: 978-0-16-090041-9 Budget of the United States Government, Fiscal Year 2013 contains the Budget Message of the President, information on the President’s priorities, budget overviews organized by agency, and summary tables. Analytical Perspectives, Budget of the United States Government, Fiscal Year 2013 contains analyses that are designed to highlight...
GPO, 2014. – 232 p. – ISBN: 978-0-16-091747-9 Budget of the United States Government, Fiscal Year 2014 contains the Budget Message of the President, information on the President’s priorities, budget overviews organized by agency, and summary tables. Analytical Perspectives, Budget of the United States Government, Fiscal Year 2014 contains analyses that are designed to highlight...
New York, The Century Co., 1901. — 340 p.
The Gospel of Wealth.
The Advantages of Poverty.
Popular Illusions about Trusts.
An Employer's View of the Labour Question.
Results of the Labor Struggle.
Distant Possessions: The Parting of the Ways.
Americanism versus Imperialism.
Democracy in England.
Home Rule in America.
Does America Hate England?
Imperial Federation.
Business Analytics Research Lab India, 2018. — 139 p. FinTech is a set of financial technologies (e.g. information and communication technology, cloud computing, internet, mobile computing), tools, platforms and ecosystems that make financial services (e.g. banking, payment processing, funding, lending, investing, trading, currencies) and financial products more accessible,...
Palgrave, 2021. — 322 p. — ISBN 9783030651329. This book sheds light on current issues in sustainable finance through an in-depth analysis and discussion of relevant sustainable products and sustainable initiatives of several financial institutions. This edited collection critically presents and discusses several relevant theoretical issues, case studies of innovative financial...
Wiley, 2016. — 312 p. — ISBN: 111921887X. A front-line industry insider's look at the financial technology explosion The FINTECH Book is your primary guide to the financial technology revolution, and the disruption, innovation and opportunity therein. Written by prominent thought leaders in the global fintech investment space, this book aggregates diverse industry expertise...
World Scientific, 2018. — 450 p. — ISBN: 9813238631. Cryptocurrency market has been growing fast since its emergence in recent years. Moreover, digital finance has forged the convergence of profit motives with social objectives creating a class of large FinTech companies. In addition, the underlying technology innovation may be applied to a wide range of industries, not limited...
Wiley, 2016. — 226 p. An essential guide to the fast growing area of binary options. Long the province of professional traders, binary options are now offered to retail investors through the North American Derivative Exchange (Nadex) and a growing group of online brokerages. Now, with this new book, author Abe Cofnas explains how independent traders and investors can use binary...
Unpublished, 2013. — 244 p. Trading is a business that moves trillions of dollars every day, involving individuals and institutions from all around the world. There are many markets to trade and various ways to do it; this report will explore the different kinds of markets and will more in-depth study the foreign exchange market. This report also covers robot trading, the...
USA: New York; Nova Science Publishers Inc., 2007. — 195 p. — ISBN13: 978-1604567724. The pace of economic growth slowed in 2007, and there are strong indications that it will slacken further in 2008. In CBO's view, the problems in the housing and financial markets and the high price of oil will curb spending by households and businesses and trim the growth of GDP. The Budget...
M. Gordon Publishing Group, 2005. — 221 p. "This book was written with the me of 10 years ago in mind. My goal has been to produce the book I wish I had a decade ago when I made a full-time commitment to my trading. This book is a compilation of two years of my monthly newsletter, the Professional Traders Journal. I have taken the best strategies and updated them for you. I...
Heard on the Street is a classic Wall Street interview Q&A book. Many of the questions you will hear in real interviews will have been "borrowed" or modified from this book. In fact, many interviewers want to see that you've done the necessary "grunt work" just by reading through it! The book contains five main sections - Quantitative/Logical Questions, Derivatives Questions,...
Edward Elgar Publishing Limited, 2018. — 680 p. — ISBN: 9781786432629, 1786432625. The severe consequences of the global financial crisis 2008-2009 and numerous accounting frauds and financial scandals over the last fifteen years have let to calls for more ethical and responsible actions in all economic activities including consumption, investing, governance and regulation....
Oxford University Press, 2020. — 657 p. — ISBN 9780199744756. Fundamentals of Entrepreneurial Finance provides a comprehensive introduction to entrepreneurial finance, showing how entrepreneurs and investors jointly turn ideas into valuable high-growth start-ups. Marco Da Rin and Thomas Hellmann examine the challenges entrepreneurs face in obtaining funding and the challenges...
Oxford University Press, 2020. — 657 p. — ISBN 9780199744756. Fundamentals of Entrepreneurial Finance provides a comprehensive introduction to entrepreneurial finance, showing how entrepreneurs and investors jointly turn ideas into valuable high-growth start-ups. Marco Da Rin and Thomas Hellmann examine the challenges entrepreneurs face in obtaining funding and the challenges...
McGraw-Hill – 2007, 500 pages
ISBN: 0071468641, 9780071468640
Stay On Top of Every Major Issue in the Structured Finance Market and Learn Powerful New Models for Identifying, Measuring, Pricing, and Monitoring Your Deals
The Handbook of Structured Finance is a complete guide to the major issues facing investors in the structured finance market. Comprehensive and accessible,...
Wiley, 2010. — 221 p. — ASIN: B004I98BJG, ISBN978-0-470-74596-0. Introduction to Private Equity is a critical yet grounded guide to the private equity industry. Far more than just another introductory guide, the book blends academic rigour with practical experience to provide a critical perspective of the industry from a professional who has worked at many levels within the...
John Wiley, 2009. — 369 p. The foundation for creating sound investment solutions was laid out when Markowitz introduced in 1952 the concept of modern portfolio theory in his seminal paper called ‘Portfolio Selection’. The full significance of the relationship between return and risk, and with it the effects of diversification, was articulated. In the following years numerous models...
IGI Global, 2019. — 286 p. Central banking independence is a crucial factor for sustainable economic development of multiple countries. The multiple components for such systems, however, makes it difficult to evaluate how the success of such a system may be determined. Monetary Policies and Independence of the Central Banks in E7 Countries is an essential reference source that...
Verso, 2017. — 176 p. — ISBN: 978-1784787196. How finance is a mechanism of social and political domination. The 2007–08 credit crisis and the long recession that followed brutally exposed the economic and social costs of financialization. Understanding what lay behind these events, the rise of “fictitious capital” and its opaque logic, is crucial to grasping the social and...
Lovoc Group Inc., 2011. — 374 p. This book offers a broad spectrum of trading techniques that fits the style of almost any type of trader. These methods were selected based on their exceptional results, ease of applications and diversity of approach.
18 ed. — Pearson;Trans-Atlantic Publications, Inc., 2017. — 905 p. — ISBN: 9781292162409, 9781292162430, 9781292162423, 1292162406, 1292162430 This market leading text provides comprehensive coverage of financial accounting and reporting to enable you to discuss and apply IFRS compliant financial statements. With the balance of theoretical principles and practical applications,...
14th ed. — Pearson Education, 2010. — 929 p. — ISBN: 9780273744535, 0273744534
Financial Accounting and Reporting is the most up to date text on the market. Now fully updated in its fourteenth edition, it includes extensive coverage of International Accounting Standards (IAS) and International Financial Reporting Standards (IFRS).
This market-leading text offers students a...
Custom House, 2017. — 528 p. — ISBN10: 0062452983; ISBN13: 978-0062452986. Each day your financial life is governed by interest rates--your credit card, your car payments, your mortgage, your college loans. It would be natural to assume that those rates are set in the marketplace, the product of supply and demand and the usual intervention by the Federal Reserve. This is the...
Expanded 2nd ed. — Hong Kong University Press, 2014. — 408 p. — ASIN B00NHXDFU4. In this practical guide to initial public offerings, Philippe Espinasse explains the pros and cons of turning private businesses into listed companies. In straightforward, jargon-free language he details the strategies, procedures, and documentation for different forms of listings, and describes the...
Expanded 2nd ed. — Hong Kong University Press, 2014. — 408 p. — ASIN B00NHXDFU4. In this practical guide to initial public offerings, Philippe Espinasse explains the pros and cons of turning private businesses into listed companies. In straightforward, jargon-free language he details the strategies, procedures, and documentation for different forms of listings, and describes the...
Expanded 2nd ed. — Hong Kong University Press, 2014. — 408 p. — ASIN B00NHXDFU4. In this practical guide to initial public offerings, Philippe Espinasse explains the pros and cons of turning private businesses into listed companies. In straightforward, jargon-free language he details the strategies, procedures, and documentation for different forms of listings, and describes the...
Sou-th-We-ern Coll-ge P-b | 2010 | ISBN: 0538746955 | 832 pages | PDF
Every job requires you to prepare, use, respond to, or be evaluated by accounting data in some way. Understanding what accounting is, why it’s important, and how to effectively use and prepare financial accounting data will give you a competitive edge in any organization. The focus of FINANCIAL ACCOUNTING, 11e...
John Wiley, 2007. — 530 p. The first four chapters are designed to help the reader sort through the various types of investments available to trade commodities. Chapters 1 and 2 provide a closer look at commodity futures contracts, while Chapter 3 digs deep into the trading of commodity-related stocks. Chapter 4 discusses index markets including trading the indexes and...
Academic Press, 2020. — 536 p. — ISBN: 978-0-12-817596-5. This book presents new insights into the causes, mechanisms and results of growth in national and regional accounts. It demonstrates the versatility and usefulness of the KLEMS databases, which generate internationally comparable industry-level data on outputs, inputs and productivity. By rethinking economic development...
Bloomberg Press, 2003. — 321 p. — ISBN: 1861975309, 9781861975300. 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 on the dramatic changes that have taken place in the financial world and...
Unpublished, 2012. — 68 p. I present evidence that a moving average (MA) trading strategy third order stochastically dominates buying and holding the underlying asset in a mean-variance-skewness sense using monthly returns of value-weighted decile portfolios sorted by market size, book-to-market cash-flow-to-price, earnings-to-price, dividend-price, short-term reversal, medium-term...
Wiley, 2014. — 256 p. — ISBN: 978-1118847268. A comprehensive guide to mitigating risk and fostering growth in the Islamic financial sector Islamic finance, like conventional finance is a business of financial intermediation. Its distinctive features relate to the requirement that it abides by Shari'a rules that promote fairness of contracts and prevention of exploitation,...
Wiley, 2014. — 224 p. — ISBN: 9781118940860, 9781118837870 Detailed, actionable guidance for expanding your revenue in the face of a new virtual marketWritten by industry authority Charles H. Green, Banker's Guide to New Small Business Finance explains how a financial bust from one perfect stormthe real estate bubble and the liquidity collapse in capital marketsis leading to a...
N.-Y.: McGraw-Hill, 2009. - 561 pages.
Справочник по использованию и расчёту показателя Value-at-Risk (VaR), включая методики его вычисления, использование для оптимального формирования портфелей, хеджинга, определения уровня стоп-лоссов при трейдинге и т.п. Для риск-менеджеров и научных работников в сфере риск-менеджмента.
McGraw-Hill, 2009. — 518 p. This book provides a broad overview of different Value-at-Risk applications for the banking and insurance sector as well as for the portfolio management especially for alternative investments. Professor Gregoriou has collected an excellent composition of articles which feature advanced Value-at-Risk applications and their usage in different fields of...
// Emerald Publishing Limited, 2020. – 288 p. Financial Derivatives have long been the subject of conflicting views. For some, they are a useful instrument, too often maligned by those who do not understand them; for others, they are a complete waste of time and money. But which is it? Should we embrace financial derivatives, or fear them? In Financial Derivatives: A Blessing...
Edward Elgar Pub, 2017. — 352 p. — ISBN: 978-1786431127. Anyone trying to understand finance has to contend with the evolving and dynamic nature of the topic. Changes in economic conditions, regulations, technology, competition, globalization, and other factors regularly impact the development of the field, but certain essential concepts remain key to a good understanding. This...
Palgrave Macmillan, 2016. — 343 p. — ASIN B01M0288IX. This book presents selected papers on the factors that serve to influence an individual’s capacity in financial decision-making. Initial chapters provide an overview of the cognitive factors affecting financial decisions and suggest a link between limited cognitive capacity and the need for financial education. The book then...
Palgrave Macmillan, 2018. — 332 p. — ISBN: 978-3319912943. Islamic finance often faces numerous challenges in a dynamic marketplace. This book aims to discuss contemporary issues and challenges in Islamic finance to inform discussions surrounding the governance system, the Islamic legal system, prudential regulations, Islamic home financing, and Islamic microfinance....
Palgrave Macmillan, 2018. — 332 p. — ISBN: 978-3319912943. Islamic finance often faces numerous challenges in a dynamic marketplace. This book aims to discuss contemporary issues and challenges in Islamic finance to inform discussions surrounding the governance system, the Islamic legal system, prudential regulations, Islamic home financing, and Islamic microfinance....
6th edition. — Cengage Learning, 2019. — 811 p. — ISBN 978-1-4737-4924-5. Finance for Executives is used on MBA and executive learning programs worldwide. The text continues to provide a clear and detailed overview of the aspects of financial practice students are likely to encounter as executives. Real examples from a range of international companies give the text a strong...
3rd edition. — South-Western College Pub, 2006. — 412 p. This is ideal for the future manager or experienced executive who recognizes the importance of using financial information to maximize firm value. Respected authors Gabriel Hawawini and Claude Viallet have translated their wealth of experience into a concise, analytically sound introduction to financial management that is...
Wiley, 2008. — 260 p. — ISBN: 0470779993, 9780470779996
A complete framework for applications of behavioral finance in private banking, Behavioural Finance for Private Banking considers client needs specific to private banking like personal circumstances, objectives, and attitude to risk. This book includes the theoretical foundations of investment decision–making, an...
University of California Press, 2024. — 298 p. In Money in the Twenty-First Century: Cheap, Mobile, and Digital a brilliant economist examines three modern forces that have redefined what "money" means, who controls it, and what the future of finance might look like. Money is increasingly cheap, digital, and mobile. In Money in the Twenty-First Century, economist Richard Holden...
University of California Press, 2024. — 298 p. In Money in the Twenty-First Century: Cheap, Mobile, and Digital a brilliant economist examines three modern forces that have redefined what "money" means, who controls it, and what the future of finance might look like. Money is increasingly cheap, digital, and mobile. In Money in the Twenty-First Century, economist Richard Holden...
University of California Press, 2024. — 298 p. In Money in the Twenty-First Century: Cheap, Mobile, and Digital a brilliant economist examines three modern forces that have redefined what "money" means, who controls it, and what the future of finance might look like. Money is increasingly cheap, digital, and mobile. In Money in the Twenty-First Century, economist Richard Holden...
University of California Press, 2024. — 298 p. In Money in the Twenty-First Century: Cheap, Mobile, and Digital a brilliant economist examines three modern forces that have redefined what "money" means, who controls it, and what the future of finance might look like. Money is increasingly cheap, digital, and mobile. In Money in the Twenty-First Century, economist Richard Holden...
University of California Press, 2024. — 298 p. In Money in the Twenty-First Century: Cheap, Mobile, and Digital a brilliant economist examines three modern forces that have redefined what "money" means, who controls it, and what the future of finance might look like. Money is increasingly cheap, digital, and mobile. In Money in the Twenty-First Century, economist Richard Holden...
Red Globe Press, 2020. — 351 p. — ISBN 978-1-352-00981-1. Financial literacy is one of the fundamental keys to business success, and this ground-breaking textbook teaches students the necessary financial skills required by entrepreneurs.Presenting an abundance of case studies and examples throughout, the book uses a step-by-step approach which will develop the reader's...
South-Western Cengage Learning, 2011. — 808 p. Popular author and seasoned economist Dr. David Hyman delivers a solid economics-oriented approach to public finance and public policy. The 10th edition of PUBLIC FINANCE thoroughly illustrates the role government plays in the economy and explains how and why the public sector makes decisions. Packed with timely, real-world examples,...
Singapore: Palgrave Macmillan, Springer Nature Singapore Pte Ltd., 2018. — xxii, 426 p. — ISBN: 9789811306983. The year 2015 was an eventful year. After the Federal Reserve officially started the interest rate increase, the dollar index continued to rise, dollar assets were sought after by many, international capital flow experienced large-scale adjustment, and China faced an...
Springer, 2019. — 214 p. — ISBN: 3030155803. This volume features a selection of contributions presented at the 2018 Wroclaw Conference in Finance, which cover a wide range of topics in finance and financial economics, e.g. financial markets; monetary policy; corporate, personal and public finance; and risk management and insurance. Reflecting the diversity and richness of...
Springer, 2017. — 320 p. — ISBN: 978-3319548845. This book contains a selection of the contributions presented at the conference. The articles reflect the extent, diversity and richness of research areas in the field, both fundamental and applied finance. The target audience of these proceedings includes researchers at universities and research and policy institutions, graduate...
Springer, 2021. — 250 p. — (Proceedings from the 6th Wroclaw International Conference in Finance). This volume presents papers from the 6th Wrocław International Conference in Finance held at Wrocław University of Economics and Business via video conferencing on September 22–23, 2020. We have assembled a set of studies addressing a broad spectrum of recent trends and issues in...
Страниц: 242. Язык: Английский. More than two decades after Warren [Buffett] lent it to me—and more than four decades after it was first published—Business Adventures remains the best business book I’ve ever read...Brooks’s deeper insights about business are just as relevant today as they were back then. —Bill Gates From Wall Street to Main Street, John Brooks, longtime...
Self-Published by Luther L. Jones, 2024. — 73 p. Is Our Currency System Shattered Beyond Repair? In a world of constant flux and uncertainty, one question looms large: Is our currency system shattered beyond repair? The traditional model of centralized banking and government-issued fiat currencies has faced relentless scrutiny and criticism in recent years. From volatile...
Self-Published by Luther L. Jones, 2024. — 73 p. Is Our Currency System Shattered Beyond Repair? In a world of constant flux and uncertainty, one question looms large: Is our currency system shattered beyond repair? The traditional model of centralized banking and government-issued fiat currencies has faced relentless scrutiny and criticism in recent years. From volatile...
Self-Published by Luther L. Jones, 2024. — 73 p. Is Our Currency System Shattered Beyond Repair? In a world of constant flux and uncertainty, one question looms large: Is our currency system shattered beyond repair? The traditional model of centralized banking and government-issued fiat currencies has faced relentless scrutiny and criticism in recent years. From volatile...
Self-Published by Luther L. Jones, 2024. — 73 p. Is Our Currency System Shattered Beyond Repair? In a world of constant flux and uncertainty, one question looms large: Is our currency system shattered beyond repair? The traditional model of centralized banking and government-issued fiat currencies has faced relentless scrutiny and criticism in recent years. From volatile...
Self-Published by Luther L. Jones, 2024. — 73 p. Is Our Currency System Shattered Beyond Repair? In a world of constant flux and uncertainty, one question looms large: Is our currency system shattered beyond repair? The traditional model of centralized banking and government-issued fiat currencies has faced relentless scrutiny and criticism in recent years. From volatile...
2nd edition. – Pearson, 2011 – 336 p. – ISBN: 978-0-273-73686-8
The Financial Times Guide to Options is a straightforward and practical guide to the fundamentals of options. It includes only what is essential to basic understanding. It presents options theory in conventional terms, with a minimum of jargon. It is thorough; not simplistic.
The purpose of this book is to give...
New York: Wiley, 2015. - 224p. Venture deep into the heart of finance's weird and wonderful paradoxes Dinosaur Derivatives and Other Trades is an entertaining and compelling tour de force highlighting the paradoxes inherent to the modern financial system. Presented as a series of striking case studies, this book explores certain enigmatic or philosophical puzzles in the finance...
FT Publishing International, 2015. — (The Mastering Series). — ISBN10: 1292001445; ISBN13: 9781292001449. A practical and accessible guide to Islamic finance that helps demystify the differences with conventional banking, enabling practitioners to develop Sharia compliant products for customers. The Islamic Finance industry is estimated to be worth $1.2 trillion and is growing...
PublicAffairs, 2015. — ISBN: 1610396030; ISBN13: 9781610396035. A Financial Times Book of the Year, 2015 An Economist Best Book of the Year, 2015 A Bloomberg Best Book of the Year, 2015 The finance sector of Western economies is too large and attracts too many of the smartest college graduates. Financialization over the past three decades has created a structure that lacks...
Springer, 2013. — 532 S. — ISBN: 978-3658003722. In managerial literature the challenges of ramping-up, growing and enhancing a (Finance) Shared Services Organization are regularly neglected. Therefore, the compilation will address two objectives: First, based on a generic phase model of an SSO’s development, frequently arising questions related to the management of SSOs shall...
Edward Elgar, 2010. — 253 p. — (Studies in Islamic Finance, Accounting and Governance). This timely book examines the authorization of Shari'ah-compliant intermediaries as either credit institutions or as investment companies in the European Union. The contributing authors explore the key topics of this area through differing yet parallel perspectives - for example, comparing...
Routledge, 2005. — 208 p. Islamic economics and finance have increased in importance over the last few decades, with new Islamic financial institutions opening up and a number of important books published on the topic.This glossary, fully updated and revised for the new edition, uses easy to understand language to introduce terms used by Muslim scholars, historians and legal...
11th Edition. — Wiley Finance, 2012. — 738 р. — ISBN13: 978-047-056108-9. Financial Institutions, Markets, and Money provides a balanced introduction to the operation, mechanics, and structure of the U.S. financial system emphasizing its institutions, markets, and financial instruments. The authors stress the mastery of fundamental material, placing an emphasis on how things...
7th ed. — Palgrave Macmillan, 2015. — 426 p. — ISBN: 978-1137525758. This seventh edition of an investment classic has been thoroughly revised and expanded following the latest crises to hit international markets. Renowned economist Robert Z. Aliber introduces the concept that global financial crises in recent years are not independent events, but symptomatic of an inherent...
5th edition. — Wiley, 2005. — 366 p.
The years since the early 1970s are unprecedented in terms of the volatility in the prices of commodities, currencies, real estate and stocks, and the frequency and severity of financial crises. In the second half of the 1980s, Japan experienced a massive bubble in its real estate and in its stock markets. During the same period the prices...
Wiley, 2018. — 176 p. — ISBN: 1119523729. Praise for Learning Practical FinTech from Successful Companies : "Throughout my career I've seen the world of finance transformed by technology, from the earliest days of online lending to the current innovations happening with blockchain and cryptocurrency. I believe we²re at a critical point in history where a new Internet of Value...
Wiley, 2018. — 176 p. — ISBN: 1119523729. Praise for Learning Practical FinTech from Successful Companies : "Throughout my career I've seen the world of finance transformed by technology, from the earliest days of online lending to the current innovations happening with blockchain and cryptocurrency. I believe we²re at a critical point in history where a new Internet of Value...
Springer, 2017. — 143 p. — ISBN: 978-9811035654. This book features the best papers presented at the Asia-Pacific Conference on Economics & Finance in 2016. Chapters include research conducted by experts in the field of Economics, Finance and Business from the region. Put together by East Asia Research, East Asia Institute of Management & Universiti Malaysia Sarawak (UNIMAS) ,...
Greenwood, 2010. — 230 p. — ISBN: 0313377189, 9780313377181. The recent global financial crisis was caused, at least in part, by the financial ignorance of many consumers. Many students and young adults in particular have never been taught the basics of financial planning. Yet, the earlier people move from financial illiteracy to literacy, the greater the benefits that will...
7th edition. — Cengage Learning, 2021. — 699 p. — ISBN 978-0-357-44204-3. Master each step of the complete "life cycle" of a firm with Leach/Melicher's Entrepreneurial Finance 7th Edition, This edition vividly explains the theories, corporate finance tools and techniques you need to start, build and eventually harvest a successful entrepreneurial venture today. Using an...
South-Western College – 2011, 688 pages, 4th edition ISBN: 0538478152, 9780538478151 Learn to master today's most effective corporate finance tools and techniques for successful entrepreneurial ventures with Leach/Melicher's Entrepreneurial Finance, 4e. This reader-friendly edition closely follows a "life cycle of the firm" as it introduces the theories, knowledge, and...
W. W. Norton & Company, 2012.-240p. ISBN: 978-0393343441
Lewis shows again why he is the leading journalist of his generation.—Kyle Smith, Forbes
The tsunami of cheap credit that rolled across the planet between 2002 and 2008 was more than a simple financial phenomenon: it was temptation, offering entire societies the chance to reveal aspects of their characters they could not...
W. W. Norton & Company, 2012.-240p. ISBN: 978-0393343441
Lewis shows again why he is the leading journalist of his generation.—Kyle Smith, Forbes
The tsunami of cheap credit that rolled across the planet between 2002 and 2008 was more than a simple financial phenomenon: it was temptation, offering entire societies the chance to reveal aspects of their characters they could not...
Springer-Verlag Berlin Heidelberg, 2012. — 250 p. — ISBN: 3642050867, 9783642050862
Given the manifold challenges of financial sectors in developing and transition countries, one might be tempted to believe that embarking on green finance is not a priority for financial systems development. However, there are a number of arguments against this view.
Environmental finance,...
De Gruyter, 2022. — 437 p. — (De Gruyter Handbooks in Business, Economics and Finance). As of early 2022, seven of the ten largest firms in the world by market capitalization had been funded through various types of entrepreneurial finance. This handbook provides an up-to-date survey of what we know about this significant phenomenon in all its forms, and where our knowledge...
De Gruyter, 2022. — 437 p. As of early 2022, seven of the ten largest firms in the world by market capitalization had been funded through various types of entrepreneurial finance. This handbook provides an up-to-date survey of what we know about this significant phenomenon in all its forms, and where our knowledge about it needs to head from here. The handbook embraces a wide...
Edward Elgar Publishing Ltd, 2011. – 192 p. – ISBN: 1849808783, 9781849808781 This challenging book examines the origins and dynamics of financial-economic crises. Its wide theoretical scope incorporates the theories of Marx, Keynes and various other Post Keynesian scholars of endogenous money, and provides a grand synthesis of these theoretical lineages, as well as a powerful...
Harvard Business Review Press, 2014. — 368 p. — ISBN: 978-1625271754. At once a bold defense and reimagining of capitalism and a blueprint for a new system for doing business, Conscious Capitalism is for anyone hoping to build a more cooperative, humane, and positive future. Whole Foods Market cofounder John Mackey and professor and Conscious Capitalism, Inc. cofounder Raj...
With a New Preface by the Authors. — Harvard Business Review Press, 2014. — 368 p. — ISBN: 978-1625271754. At once a bold defense and reimagining of capitalism and a blueprint for a new system for doing business, Conscious Capitalism is for anyone hoping to build a more cooperative, humane, and positive future. Whole Foods Market cofounder John Mackey and professor and...
Verso, 2024. — 320 p. The Fall and Rise of American Finance. From J.P. Morgan to BlackRock tells a compelling story of wow Wall Street concocted a more volatile and dangerous capitalism. The Fall and Rise of American Finance traces the collapse and reconstitution of American financial power from the disintegration of robber baron J. P. Morgan’s vast empire to the rise of...
Verso, 2024. — 320 p. The Fall and Rise of American Finance. From J.P. Morgan to BlackRock tells a compelling story of wow Wall Street concocted a more volatile and dangerous capitalism. The Fall and Rise of American Finance traces the collapse and reconstitution of American financial power from the disintegration of robber baron J. P. Morgan’s vast empire to the rise of...
Verso, 2024. — 320 p. The Fall and Rise of American Finance. From J.P. Morgan to BlackRock tells a compelling story of wow Wall Street concocted a more volatile and dangerous capitalism. The Fall and Rise of American Finance traces the collapse and reconstitution of American financial power from the disintegration of robber baron J. P. Morgan’s vast empire to the rise of...
Verso, 2024. — 320 p. The Fall and Rise of American Finance. From J.P. Morgan to BlackRock tells a compelling story of wow Wall Street concocted a more volatile and dangerous capitalism. The Fall and Rise of American Finance traces the collapse and reconstitution of American financial power from the disintegration of robber baron J. P. Morgan’s vast empire to the rise of...
Verso, 2024. — 320 p. The Fall and Rise of American Finance. From J.P. Morgan to BlackRock tells a compelling story of wow Wall Street concocted a more volatile and dangerous capitalism. The Fall and Rise of American Finance traces the collapse and reconstitution of American financial power from the disintegration of robber baron J. P. Morgan’s vast empire to the rise of...
Springer, 2023. — 570 p. This volume discusses the role and characteristics of Islamic finance and how it can contribute to a sustainable financial system. Islamic finance is not only for the 1.5 billion Muslims. Several countries are interested in it because it has interesting characteristics in terms of transparency and banking regulation. Although the origins of Islamic...
Semiotext(e), 112 pages. This first English-language edition of Christian Marazzi's most recent book, The Violence of Financial Capitalism, makes a groundbreaking work on the global financial crisis available to a new audience of readers. Marazzi, a leading figure in the European postfordist movement, first takes a broad look at the nature of the crisis and then provides the...
Academic Press, 2018. — 341 p. — ISBN: 978-0-12-814447-3. This book establishes and analyzes the connection between this revolutionary technology and global efforts to combat climate change. The benefits of blockchain come through various profound alterations, such as the adoption of smart contracts that are set to redefine governance and regulatory structures and transaction...
Wiley, 2009. — 672 p. — 2nd ed. — ISBN: 0470390158, 9780470390153
Praise for The handbook of Financing Growth
"Once again, Kenneth Marks and company have hit the mark with a comprehensive analysis of corporate and commercial finance, which is both readable and up-to-date. This book is a must for any entrepreneur, middle-market company CFO, or graduate student looking for a...
U.S.A, Pierce, Fenner&Smith Incorporated, 2000. — 52 р. Book for students of economic universities in English will help to understand the data included in financial reports and how to analyze it. Learn more about companies that offer employment or investment opportunities. Some tables of contents: Introduction, How to read a financial report, Concolidated financial...
Palgrave Macmillan, 2017. — 192 p. — ISBN: 978-3319663890. This book provides an introductory theoretical foundation of the ethics embedded in Islamic economics and finance, and it shows how this ethical framework could pave the way to economic and social justice. It demonstrates how Islamic finance―a risk-sharing and asset-backed finance―has embedded universal values, ethical...
University Of Chicago Press, 2002. – 295 p. – ISBN: 0226531880 Since banking systems play a crucial role in maintaining the overall health of the economy, the adverse effects of poorly supervised systems may be quite severe. Without some form of vigilant external oversight, banking systems could fall prey to excessive risk taking, moral hazard, and corruption. Prudential...
6th Edition, Global Edition. - Pearson Education, 2021. — 601 p. — ISBN 978-1-292-21521-1. For undergraduate courses in International Financial Management, International Business Finance, or International Finance. Real-world examples introduce students to global financial management strategy Fundamentals of Multinational Finance helps prepare tomorrow's business leaders to...
5th edition. — Pearson, 2014. — 528 p. — ISBN10: 0205989756, ISBN13: 978-0205989751. Fundamentals of Multinational Finance is intended for use in undergraduate International Financial Management, International Business Finance, or International Finance courses. It is also suitable for readers interested in global financial management. A focused, streamlined approach to creating...
Palgrave Macmillan, 2017. - 315p. - ISBN: 978-3319488400 This book explores how, through spirituality and the development of character, Islamic financial institutions and Muslim communities can integrate their businesses with contemporary social responsibility initiatives to produce positive social and environmental impact. From the looming environmental crisis to the divide...
3rd ed. — Adkins Matchett & Toy, 2012. — 67 p. The income statement/profit and loss account. Working capital. Non-current assets. Debt and equity. Cash flow statement. Ratio analysis.
Black Inc, 2009. — 232 p. The sub-prime mortgage crisis is only the beginning; a more profound economic and political restructuring is on its way. According to Charles R. Morris, the astronomical leverage at investment banks, with their hedge-fund and private-equity clients, virtually guarantees massive disruption in global markets. A quarter century of free-market zealotry that...
Elsevier Ltd., 2009. — ISBN: 978-0-7506-8701-0. Financial reporting is becoming more onerous and complex, particularly for listed companies. Accounting scandals have led to a greater regulatory focus on the role of audit committees, non-executive directors, risk management and internal control which put the Finance Director under new and more stringent pressures. This quick...
The Institution of Engineering and Technology, 2018. — 412 p. — ISBN: 978-1-78561-481-1. This book describes recent developments in the power and energy markets that are driving major changes in the generation mix, network requirements and customer engagement. The industry now faces new challenges associated with global warming and escalating demand from developing countries...
Palgrave Macmillan, 2015. — 209 p. — ASIN B017KUOW74. This exciting new addition to Palgrave Studies in Islamic Banking, Finance, and Economics argues that social capital can facilitate rule-compliance and co-operation in the sharing of risk in financial and economic activities.
USA: Routledge, Taylor & Francis Group, 2022. — 561 p. — ISBN 9780367457778. The Routledge Handbook of Financial Literacy provides a comprehensive reference work that addresses both research perspectives and practical applications to financial education. This is the first volume to summarize the milestones of research in financial literacy from multiple perspectives to offer a...
Cato Institute, 2009. - 208 pages.
Financial Fiasco digs deep into the foundation of the economic meltdown, revealing how it was the product of conscious actions by decision makers in companies, government agencies, political institutions, and consumers. An easily accessible work written for general readers, Financial Fiasco tells the compelling story of how rate cutting by the...
Outskirts Press, 2024. — 144 p. In “The Root of All Evil,” delve into a millennium of unspoken history that has stealthily molded our society, economies, and beliefs. This enlightening book exposes the intertwined roots of money and power, tracing back to the enigmatic Knights Templar and the inception of a banking system that dominates the global landscape today. Discover how...
Outskirts Press, 2024. — 144 p. In “The Root of All Evil,” delve into a millennium of unspoken history that has stealthily molded our society, economies, and beliefs. This enlightening book exposes the intertwined roots of money and power, tracing back to the enigmatic Knights Templar and the inception of a banking system that dominates the global landscape today. Discover how...
Outskirts Press, 2024. — 144 p. In “The Root of All Evil,” delve into a millennium of unspoken history that has stealthily molded our society, economies, and beliefs. This enlightening book exposes the intertwined roots of money and power, tracing back to the enigmatic Knights Templar and the inception of a banking system that dominates the global landscape today. Discover how...
Outskirts Press, 2024. — 144 p. In “The Root of All Evil,” delve into a millennium of unspoken history that has stealthily molded our society, economies, and beliefs. This enlightening book exposes the intertwined roots of money and power, tracing back to the enigmatic Knights Templar and the inception of a banking system that dominates the global landscape today. Discover how...
Outskirts Press, 2024. — 144 p. In “The Root of All Evil,” delve into a millennium of unspoken history that has stealthily molded our society, economies, and beliefs. This enlightening book exposes the intertwined roots of money and power, tracing back to the enigmatic Knights Templar and the inception of a banking system that dominates the global landscape today. Discover how...
Textbook. — Kazan: Kazan University, 2022. — 52 p. The textbook outlines the basic principales of the islamic economic model, describes the state and prospects of the islamic economic model development in Russia and in its regions and considres some aspects of economic cooperation between Russia and Organization of Islamic Cooperation states. It is addressed to the heads of...
National Futures Association. National Futures Association is a congressionally authorized self-regulatory organization of the United States futures industry. Its mission is to provide innovative regulatory programs and services that protect investors and ensure market integrity. NFA has prepared this book as part of its continuing public education efforts to provide...
Springer, 2018. - 274p. - ISBN: 3030017834 This volume presents current developments in the fields of banking and finance from an international perspective. Featuring contributions from the 3rd International Conference on Banking and Finance Perspectives (ICBFP), this volume serves as a valuable forum for discussing current issues and trends in the banking and financial sectors,...
FT, Pearson Education, 2003. — 433 p. — ISBN: 0273661078. If you are a dealer, settlements specialist or anyone involved in foreign exchange, treasury or capital markets operations and you are thinking about taking ACI – The Financial Markets Association – Dealing Certificate, Settlements Certificate or Diploma examinations, then this series of books has been designed just for you.
3rd ed. — N.Y., 2006. — 523 p. Includes bibliographical references and index. The subject matter of internationai finance is, broadly speaking, concerned with the monetary and macroeconomic reiations between countries. international finance is a constantly evoiving subject that deais very much with reai world issues such as balance of payments probiems and policy, the causes of...
9th edition. — Houghton Mifflin Company, 2007. — 885 p. Uses of Accounting Information and the Financial Statements How to Read an Annual Report Analyzing Business Transactions Measuring Business Income Closing Entries and the Work Sheet Financial Reporting and Analysis The Annual Report Project The Operating Cycle and Merchandising Operations Inventories Cash and Receivables...
Springer, 2020. — 288 p. — ISBN: 3658293616. In this book Christian Prem features new innovations on several levels. On a conceptual level he presents a complete restructuring and modularisation of the field of lending theory. On a formal level he bestows great care on providing precise definitions and promotes notational standardisation. On a technical level the development of...
Palgrave Macmillan, 2019. — 310 p. Innovation in money is just as important as innovation in any other sphere of activity; money is always a “work in progress.” In fact, history shows societies have tried out a wide diversity of monetary arrangements. Ideas about money have played key roles at crucial turning points in world history and during national histories. Recently, a...
2nd edition. — PwC, 2015.
PwC is pleased to offer this guide for Financing transactions: debt, equity and the instruments in between. The accounting guidance for the issuance, modification, conversion, and repurchase of debt and equity securities has developed over many years into a complex set of rules. This guide provides a summary of the guidance relevant to the accounting...
Katowice: Wydawnictwo Uniwersytetu Ekonomicznego, 2012. — 518 s. — ISBN: 978-83-7875-004-8. Prezentowany tom Studiów Ekonomicznych pt. „Finanse w niestabilnym otoczeniu – dylematy i wyzwania” dotyczy tematyki bankowości. Globalny kryzys finansowy, którego skutki stały się bezpośrednią przyczyną obserwowanej współcześnie niestabilności, jak powszechnie wiadomo rozpoczął się na...
Unpublished, 2009. — 146 p. A lecture note for a course taught as part of the Financial Engineering Module at the Hector School of Engineering and Management, University Fridericiana Karlsruhe.
Second Edition. — Springer, 2015. — 374 p. This book provides a thorough explanation of the nature and history of booms, bubbles and busts in financial markets. The first part of the book deals with financial booms and bubbles and how they emerge, develop and collapse. It describes the distribution of wealth, inflation, rationality of bankers, monetary and fiscal policy, the role...
Rockable Press – 2012, 104 pages ISBN: N/A Getting on top of your finances doesn’t have to be a headache. Freelance veteran Martha Retallick makes finance and accounting concepts fun and friendly. What The Book Covers Introduction: Why does finance have such a bad name? Truth be told, a lot of creative freelancers don’t like to deal with the financial side of their businesses....
М.: Альпина Паблишер, 2002. - 340 с.
Пер. с англ.
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Financial Times Management, 2003. - 309 pages.
Review: I had done a beginners course on accounts before and left that course more confused about the subject than before. I was still confused about debit and credit, double-entries etc. I found this book and it solved my problems. This book will help you as well. It is very clear. It is very structured. Each sentence makes sense....
Pearson Prentice Hall, 2008. - 251 pages.
This is the new edition of the bestselling guide to understanding and using business accounts and accounting principles, written in a way that even the financially nervous novice can easily absorb. Accounting is generally viewed as a highly technical and complex subject. However, accounts are actually based on simple principles. It's...
Palgrave Macmillan, 2017. — 509 p. — ISBN: 978-3-319-34026-5 This book provides an introduction to the valuation of financial instruments on equity markets. Written from the perspective of trading, risk management and quantitative research functions and written by a practitioner with many years' experience in markets and in academia, it provides a valuable learning tool for...
Palgrave Macmillan, 2017. — 492 p. — ISBN: 978-3-319-34026-5 This book provides an introduction to the valuation of financial instruments on equity markets. Written from the perspective of trading, risk management and quantitative research functions and written by a practitioner with many years' experience in markets and in academia, it provides a valuable learning tool for...
Palgrave Macmillan, 2018. — 741 p. — ISBN: 978-3-319-52583-9 Analytical Finance is a comprehensive introduction to the financial engineering of equity and interest rate instruments for financial markets. Developed from notes from the author’s many years in quantitative risk management and modeling roles, and then for the Financial Engineering course at Mälardalen University, it...
Berlin: Deutsche Bank, 2002. — 160 p. Exchange Rate Determination in the Short Run Currency Forecasting Using Technical Analysis Sentiment and Positioning Indicators Currency Options Market Order Flow and the Determination of Exchange Rates Investor Positioning and the Trend in Exchange Rates Risk Appetite Shifts and Currency Trends Exchange Rate Determination in the Long Run...
CreateSpace Independent Publishing Platform, 2017. — 278 p. Finally a comprehensive guide to financial technology! The financial services technology industry is booming, with investment in excess of $20 billion just in the last year. There are more than 5000 fintech startups operating, and 50 of them have already reached a billion-dollar valuation. The scope of this market goes...
Oxford University Press, 2010. — 688 p. — ISBN: 978-0195179989. For all but the most credit-worthy companies, it is more efficient to finance large pools of assets that have predictable behavioral characteristics through non-standard arrangements. These off-balance sheet structures allow credit exposures to be tailored to investor risk, asset class, and an ever-increasing...
Edward Elgar Publishing, 2021. — 214 p. This original book examines how investment theory and regulatory constraints are linked to the professional processes of portfolio investments, and how the principles of Islam as defined by sharia fit into these processes. It also explores the measures required to create and grow a global Islamic asset management industry. Established on...
Princeton University Press, 2012. — 819 p. — ISBN 978-0-691-15488-6 The reputation of the financial industry could hardly be worse than it is today in the painful aftermath of the 2008 financial crisis. New York Times best-selling economist Robert Shiller is no apologist for the sins of finance-he is probably the only person to have predicted both the stock market bubble of...
Princeton University Press, 2012. — 288 p.
The reputation of the financial industry could hardly be worse than it is today in the painful aftermath of the 2008 financial crisis. New York Times best-selling economist Robert Shiller is no apologist for the sins of finance-he is probably the only person to have predicted both the stock market bubble of 2000 and the real estate...
2nd edition. — Stanford University Press, 2021. — 615 p. — ISBN 9781503603219. Entrepreneurial Finance: Venture Capital, Deal Structure & Valuation, Second Edition illustrates how the theory and methods of finance and economics can be used to guide strategic decision-making. This text prepares readers for a variety of situations that confront stakeholders in the rapidly...
Unpublished, 2004. — 67 p. These are the extended version of the Cattedra Galileiana I gave in April 2003 in Scuola Normale, Pisa. I am grateful to the Society of Amici della Scuola Normale for the funding and to Professors Maurizio Pratelli, Marzia De Donno and Paulo Guasoni for organizing these lectures and their hospitality. In these notes, I give a very quick introduction to...
Routledge, 2020. — 332 p. In the space of three years, from 2009 to 2012 Bernie Madoff, Tom Petters and R. Allen Stanford were all convicted for running multi-billion dollar Ponzi schemes. These three schemes alone have had the largest financial take in U.S. history. But what role does the economy and legislation play in the occurrences of Ponzi schemes? What is the nature of...
Academic Press, 2005. — 381 p. This book asserts that intangibles create financial transactions, not vice versa. It offers distinct, reproducible methods of valuing intangibles in intangible forms, with associated and meaningful financial values. It also presents new management frameworks in which all forms of intangibles can be classified, measured, managed, and reported. A...
Oxford University Press, 2017. — 488 p. — ISBN: 019062647X, 9780190626471. Finance for Normal People teaches behavioral finance to people like you and me - normal people, neither rational nor irrational. We are consumers, savers, investors, and managers - corporate managers, money managers, financial advisers, and all other financial professionals. The book guides us to know...
Zed Books, 2017. — 336 p. — ISBN10: 1783609281; ISBN13: 978-1783609284. The LIBOR affair has been described as the biggest banking scandal in history, a deception affecting not only banks but also corporations, pension funds and ordinary people. But was this just the tip of the iceberg? Was the scandal the work of a few bad apples or an inevitable result of a financial system...
Zed Books, 2017. — 336 p. — ISBN10: 1783609281; ISBN13: 978-1783609284. The LIBOR affair has been described as the biggest banking scandal in history, a deception affecting not only banks but also corporations, pension funds and ordinary people. But was this just the tip of the iceberg? Was the scandal the work of a few bad apples or an inevitable result of a financial system...
John Wiley, 2009. — 241 p. An innovative A to Z guide to the world of hedge funds The Long and Short of Hedge Funds presents readers with a unique look at these investment vehicles, the people who run them, and those who provide services to them. This book is a detailed guide of the industry and offers rare access to hedge fund managers and industry participants. The book provides...
Elsevier B.V., 2008. – 605 p. – ISBN: 0444515585, 9780444515582
The growth of financial intermediation research has yielded a host of questions that have pushed "design" issues to the fore even as the boundary between financial intermediation and corporate finance has blurred. This volume presents review articles on six major topics that are connected by information-theoretic...
Routledge, 2006. — 160 p. With Islamic banking gradually becoming a more influential factor in the West, an analysis of the concept of riba – a definition of which is not given in the Qur’an – is long overdue. This text presents readers with various interpretations of this Islamic economic concept – generally perceived as ‘interest’. Thomas provides a framework for...
Now Publishers, 2007. — 126 p. This book explores the copula approach for econometric modeling of joint parametric distributions. Econometric estimation and inference for data that are assumed to be multivariate normal distributed are highly developed, but general approaches for joint nonlinear modeling of nonnormal data are not well developed, and there is a frequent tendency to...
Yale University Press, 2024. — 411 p. How bankers created the modern consumer credit economy and destroyed financial stability in the process? As much as it enriches our scholarship, Vanatta’s history should also inspire our policymaking. American households are awash in expensive credit card debt. But where did all this debt come from? In this history of the rise of postwar...
Yale University Press, 2024. — 411 p. How bankers created the modern consumer credit economy and destroyed financial stability in the process? As much as it enriches our scholarship, Vanatta’s history should also inspire our policymaking. American households are awash in expensive credit card debt. But where did all this debt come from? In this history of the rise of postwar...
Yale University Press, 2024. — 411 p. How bankers created the modern consumer credit economy and destroyed financial stability in the process? As much as it enriches our scholarship, Vanatta’s history should also inspire our policymaking. American households are awash in expensive credit card debt. But where did all this debt come from? In this history of the rise of postwar...
Yale University Press, 2024. — 411 p. How bankers created the modern consumer credit economy and destroyed financial stability in the process? As much as it enriches our scholarship, Vanatta’s history should also inspire our policymaking. American households are awash in expensive credit card debt. But where did all this debt come from? In this history of the rise of postwar...
Yale University Press, 2024. — 411 p. How bankers created the modern consumer credit economy and destroyed financial stability in the process? As much as it enriches our scholarship, Vanatta’s history should also inspire our policymaking. American households are awash in expensive credit card debt. But where did all this debt come from? In this history of the rise of postwar...
CRC Press, 2024. — 250 p. — ISBN 978-1032846897. Финансовая трансформация: лидерство в цифровой трансформации и подрывных инновациях Finance Transformation: Leadership on Digital Transformation and Disruptive Innovation is a general and wide-ranging survey of finance transformation and emerging technologies. Finance and IT have long been important areas of any business, but...
McGraw-Hill, 2019. — 755 p. Now in its ninth edition, Financial Institutions Instruments and Markets continues to be one of the market leaders in financial institutions management. With a well-respected author team at the helm it is a comprehensive resource for all students wanting to learn about the modern financial system as well as those preparing for a career in finance. This...
2nd ed. — Palgrave Macmillan, 2018. — 477 p. — ISBN: 978-3319715278. Economists broadly define financial asset price bubbles as episodes in which prices rise with notable rapidity and depart from historically established asset valuation multiples and relationships. Financial economists have for decades attempted to study and interpret bubbles through the prisms of rational...
2nd ed. — Palgrave Macmillan, 2018. — 477 p. — ISBN: 978-3319715278. Economists broadly define financial asset price bubbles as episodes in which prices rise with notable rapidity and depart from historically established asset valuation multiples and relationships. Financial economists have for decades attempted to study and interpret bubbles through the prisms of rational...
3nd ed. — Palgrave Macmillan, 2021. — 617 p. Provides wide-ranging and thorough examples and explanations of how and why bubbles and crashes have historically developed and are tied to money, credit, trust, psychology, risk preferences, behavioral and structural aspects, and social mood Covers the role of central banks and the relationship to commercial lending Presents a new...
3nd ed. — Palgrave Macmillan, 2021. — 617 p. Provides wide-ranging and thorough examples and explanations of how and why bubbles and crashes have historically developed and are tied to money, credit, trust, psychology, risk preferences, behavioral and structural aspects, and social mood Covers the role of central banks and the relationship to commercial lending Presents a new...
Routledge, 2020. — 560 p. The Routledge Handbook of Banking and Finance in Asia brings together leading scholars, policymakers, and practitioners to provide a comprehensive and cutting-edge guide to Asia’s financial institutions, markets, and systems. Part I provides a country-by-country overview of banking and finance in East, Southeast, and South Asia, including examples from...
Bookboon, 2010. — 43 p. — ISBN: 978-87-7681-587-5 This book about job costing is the tenth of fifteen books which introduces the basic principles of accounting. In this book you will learn about job costing and modern cost management systems. Basic costing concepts, such as tracking direct labor, direct material, and overhead costs are discussed. The information system for the...
Unpublished, 1984. — 113 p. These notes are based on six-week lectures given at T.I.F.R. Centre, Indian Institute of Science, Bangalore, during February to April, 1983. My main purpose in these lectures was to study solutions of stochastic differential equations asWiener functionals and apply to them some infinite dimensional functional analysis. This idea was due to P. Malliavin....
2nd edition. — Ivo Welch, 2011. — 768 p. — ISBN10: 09840049-5-5; ISBN13: 978-0984004959. Most corporate finance textbooks cover a similar canon of concepts, and my book is no exception. A quick glance at the table of contents will show you that most—though not all—of the topics in this book (formerly titled Corporate Finance: An Introduction) overlap with those in traditional...
Routledge, 2004. — 258 p. Why did US stock markets experience such a huge bubble in the 1990s? Why did Greenspan ‘allow’ the bubble to occur? Why did investors appear to act irrationally and indulge in such vehement speculation? Why the euphoria? This book examines the American stock market during one of its most intriguing periods. By turning his critical eye upon the rise of the...
Westend Verlag GmbH. Frankfurt/Main. Bundesrepublik Deutschland. 2013 384 Seiten. ISBN: 978-3-86489-026-0. Fachbegriffe aus der Finanzwelt sind meist unverständlich, abstrus und abstrakt. Deswegen gehen wir ihrer Bedeutung oftmals nicht auf den Grund, sondern geben uns notdürftig mit unserem eigenen Halbwissen zufrieden. Das ist ein folgenschwerer Fehler, denn nur, wer genau...
Wiley, 2017. — 208 p. — ISBN: 9781119243755. Lessons in innovation from key FinTech trends and successes Creating Strategic Value through Financial Technology explores the growing Financial Technology (FinTech) industry to provide insight on how traditional financial institutions and FinTech companies can boost innovation and enhance valuation in a complex regulatory...
John Wiley, 2002. — 253 p. When I first studied the stock market in earnest, two short passages in W.D. Gann’s Truth of the Stock Tape1 had a profound impact on the way I looked at price and volume charts. In the first passage, Gann talked about the amount of volume it took for a stock to make a 23-point move to the upside. He said that 1.6 million shares traded hands, which was...
Creativecommons.org, 2012. — 517 p. This book is designed to help you internalize the basics of money and banking. There is a little math, some graphs, and some sophisticated vocabulary, but nothing terribly difficult, if you put your brain to it. Each section begins with one or more questions, called Learning Objectives, and ends with Key Takeaways that provide short answers...
Springer – 2010, 240 pages ISBN: 1441975268, 9781441975270 Advances in Entrepreneurial Finance brings together contributions from researchers from the fields of entrepreneurship, behavioral finance, psychology, and neuroscience to shed new light on the dynamics of decision making and risk taking by entrepreneurs and venture capitalists (VCs). Every new venture requires access...
Palgrave Macmillan, 2019. — 272 p. — ISBN: 9783030052249. The concept of risk-sharing in financial and social contracts is one of the unique features of Islamic finance. Many theoretical studies generally claim superiority of an Islamic financial system based on pure equity and participatory modes of financing, while empirical studies provide mixed results. Studies and...
Palgrave Macmillan, 2019. — 272 p. — ISBN: 9783030052249. The concept of risk-sharing in financial and social contracts is one of the unique features of Islamic finance. Many theoretical studies generally claim superiority of an Islamic financial system based on pure equity and participatory modes of financing, while empirical studies provide mixed results. Studies and...
Учебное пособие. — Коллектив авторов. — СПб.: Изд-во С.‑Петерб. ун-та, 2023. — 152 с. — ISBN 978-5-288-06340-4. В издании дано описание процессов цифровизации, протекающих на современном финансовом рынке Японии и структурированных в рамках основных сегментов экономики и правового регулирования. В рамках комплексного исследования раскрыты особенности развития рынка современных...
Монография. — М.: Наука, 1989. — 141 с. В монографии раскрывается сущность эволюции мировых денег. Отдельную роль отводится американской экономики и её влияние на мировой финансовый рынок. Рассматриваются новые тенденции межгосударственного валютного регулирования
РАН, Дальневосточное отд-ние, Ин-т экономических исследований. —- М. : Наука, 2006. — 213 с. В монографии рассматриваются теория и методы измерения и мониторинга кризисных ситуаций на валютных рынках и в банковской системе в развивающихся экономиках. Анализируются закономерности, особенности и теоретические модели кризисов на финансовых рынках стран Восточной Азии, Латинской...
РАН, Дальневосточное отд-ние, Ин-т экономических исследований. — М. : Наука, 2006. — 213 с.
В монографии рассматриваются теория и методы измерения и мониторинга кризисных ситуаций на валютных рынках и в банковской системе в развивающихся экономиках. Анализируются закономерности, особенности и теоретические модели кризисов на финансовых рынках стран Восточной Азии, Латинской...
РАН, Дальневосточное отд-ние, Ин-т экономических исследований. — М. : Наука, 2006. —213 с.
В монографии рассматриваются теория и методы измерения и мониторинга кризисных ситуаций на валютных рынках и в банковской системе в развивающихся экономиках. Анализируются закономерности, особенности и теоретические модели кризисов на финансовых рынках стран Восточной Азии, Латинской...
М.: Эдитус, 2017. — 164 с. — ISBN: 978-5-00058-585-6. В монографии комплексно рассмотрены вопросы управления общественными финансами за рубежом, в частности, в США, Франции, Новой Зеландии и Бразилии. Содержатся рекомендации по применению международного опыта формирования открытой, доступной и прозрачной информации об управлении общественными финансами для различных...
Навчальний посібник. - К: Кондор, 2004. - 384 с. У посібнику розглянуто теоретичні основи формування і використання ресурсів у демократичних країнах. Значну увагу приділено особливостям фінансів у постсоціалістичних країнах та країнах, що розвиваються. Зміст посібника: Передмова Громадянське суспільство, ринок і державні фінанси Суспільні блага в громадянському суспільстві та...
Навчальний посібник. - К: Кондор, 2004. - 384 с. У посібнику розглянуто теоретичні основи формування і використання ресурсів у демократичних країнах. Значну увагу приділено особливостям фінансів у постсоціалістичних країнах та країнах, що розвиваються. Зміст посібника: Передмова Громадянське суспільство, ринок і державні фінанси Суспільні блага в громадянському суспільстві та...
М.: Юридический Дом Юстицинформ, 2002. Учебное пособие для юридических и экономических вузов Совместное издание Нью-Йоркской фондовой биржи и Московской межбанковской валютной биржи Юридический Дом «Юстицинформ», 2002 Алан Рот, Александр Захаров, Яков Миркин, Ричард Бернард, Петр Баренбойм, Бруксли Борн Основы государственного регулирования финансового рынка. Зарубежный опыт....
М.: Госфиниздат, 1931. — 50 с. Книга рассказывает о мировом финансовом кризисе, последовавшем за спадом промышленного производства в годы "великой депрессии", о последствиях этого кризиса для мировой экономики.
М.: Госфиниздат, 1931. — 50 с. Под ред. и с вступительной статьей И.С. Мингулина: "Умирающий капитализм и задачи пролетариата" В предлагаемой брошюре т. Саратовцева читатель найдет обильный и хорошо подобранный материал и освещение вопроса о назревании финансового кризиса в Англии и первый этап его развития. Развитие мирового экономического кризиса показало, что английский...
Учебное пособие. — Костанай: КГУ им. А.Байтурсынова, 2017. — 172 с. — ISBN 978-601-7387-06-8 В учебное пособие включены материалы по дисциплине «Финансы зарубежных государств»: лекции, раскрывающие основные положения по изучению курса, тематика практических занятий, вопросы и тесты для самоконтроля. Курс «Финансы зарубежных государств» является элективной дисциплиной, которая в...
Michael Sincere. All about Market Indicators Издательство: Манн, Иванов и Фербер Серия: Большая Библиотека Инвестора ISBN: 978-5-91657-720-4; 2013 г. О чем эта книга О том, как предвидеть, когда рынок пойдет на повышение или на понижение, когда ждать возможного кризиса, что необходимо для финансового выживания. Книга поможет понять, как построить рыночные индикаторы буквально...
М.: Кейс, 2010. — 262 с.
Необычная по жанру и композиции, "Анатомия финансового пузыря" детально рассказывает о многих известных финансовых пузырях, имевших место хронологически - с XVI века до нашего времени, географически - от Японии и Кувейта до США; в ней сделан обзор психологических, социологических, экономических и финансовых объяснений, подобных рыночных аномалий. Кроме...
Пер. с англ. Ю. Каптуревского; под ред. Т. Дробышевской, А. Смирнова. — М.: Изд-во Института Гайдара, 2014. — 504 с. ISBN: 978-5-93255-389-3 Репутация финансовой отрасли после финансового кризиса 2008 г. плоха как никогда. Роберт Шиллер, профессор экономики Иельского университета и лауреат премии им. Альфреда Нобеля по экономике 2013 г.,— один из немногих, кто предсказал и...
М . : Изд-во Института Гайдара, 2014. —504 с.
Репутация финансовой отрасли после финансового кризиса 2008 г. плоха как никогда. Роберт Шиллер, профессор экономики
Йельского университета и лауреат премии им. Альфреда Нобеля по экономике 2013 г.,—один из немногих, кто предсказал
и биржевой «пузырь» 2000 г., и «пузырь» на рынке жилой недвижимости, который привел к кризису 2008...
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