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Financial Centres in Europe, Ayadi Rym


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Цена: 55980T
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Автор: Ayadi Rym
Название:  Financial Centres in Europe   (Аяди. Финансовые центры Европы)
Издательство: Springer
Классификация:
Финансовые кризисы и катастрофы
Финансы

ISBN: 1137275030
ISBN-13(EAN): 9781137275035
ISBN: 1-137275-3-0
ISBN-13(EAN): 978-1-137275-3-5
Обложка/Формат: Hardback
Страницы: 192
Вес: 0.366 кг.
Дата издания: 06.11.2013
Серия: Palgrave macmillan studies in banking and financial institutions
Язык: English
Иллюстрации: Biography
Размер: 220 x 175 x 17
Читательская аудитория: Professional & vocational
Рейтинг:
Поставляется из: Германии
Описание: Assesses to what extent increased international cooperation could help selected financial centres in Europe respond to the future risks and opportunities facing them. The book identifies challenges that the jurisdictions face in coming years by means of representative samples and systematic comparisons of financial centres.

Financial Markets and Corporate Strategy  2 ed.

Автор: David Hillier,Mark Grinblatt
Название: Financial Markets and Corporate Strategy 2 ed.
ISBN: 0077129423 ISBN-13(EAN): 9780077129422
Издательство: McGraw-Hill
Рейтинг:
Цена: 46740 T
Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Financial Markets and Corporate Strategy

Risk management and financial institutions, 4th ed

Автор: John C. Hull
Название: Risk management and financial institutions, 4th ed
ISBN: 1118955943 ISBN-13(EAN): 9781118955949
Издательство: Wiley
Рейтинг:
Цена: 68750 T
Наличие на складе: Невозможна поставка.
Описание: All Finance Professionals Need to Understand Risk Companies must take risks to survive and prosper, but deciding which risks are acceptable, which are not, and what action to take is the tricky part. To be successful, all finance professionals need a solid understanding of risk. Risk Management and Financial Institutions, written by one of the most respected authorities on financial risk management, is thorough, textbook–level instruction for all finance professionals, on all aspects of financial risk. Fully revised and updated, this top–selling book clarifies such complex topics as the diff erent types of financial institutions and how they are regulated, valuation and scenario analysis, credit risk, margin and collateral, volatility, and much more. You?ll find new coverage of timely subjects, such as central clearing, scenario analysis, enterprise risk management, and the latest regulatory issues and gain access to a supplementary website with additional software and helpful learning aids.try." JOURNAL OF MOLECULAR GRAPHICS AND MODELLING "One cannot generally do better than to try to find an appropriate article in the highly successful Reviews in Computational Chemistry. The basic philosophy of the editors seems to be to help the authors produce chapters that are complete, accurate, clear, and accessible to experimentalists (in particular) and other nonspecialists (in general)." JOURNAL OF THE AMERICAN CHEMICAL SOCIETY  find indispensable.ny ways to invest in residential income property Considerations for foreclosures, REOs, and probate sales What you need to know about property inspections and closings Advice on setting rental policies and finding trustworthy tenants The lowdown on recordkeeping, accounting, and taxes Ways to increase a property?s return Ten insider?s steps to real estate investing success , over 255 papers; and given more than 160 conference presentations.aluation.Olofsson is the author of Probability, Statistics, and Stochastic Processes, Second Edition, also published by Wiley.  ned to be used every day in the fast–paced veterinary setting Includes dosages for a wide range of species, including dogs, cats, exotic animals, and farm animals Provides a must–have reference for veterinarians and veterinary students se pathways can be individually assessed and compared to one another. The book describes both the strengths and limitations of the current molecular and atomistic modelling toolkit so that the professional interested in using these techniques can determine whether or not a given tool is appropriate for simulating the corrosion phenomenon at hand. The book also can serve as a reference for researchers seeking to build new research programs that will extend the current molecular modelling toolkit into exciting new directions. Molecular Modeling of Corrosion Processes features: Recent examples of applications of molecular modeling to corrosion phenomena throughout the text An introduction to mechanisms and models in corrosion science and engineering Methods such as kinetic Monte Carlo simulation, thermodynamic analysis, simulation of adsorption phenomena, statistical mechanics, and conventional transition state theory Presents current challenges and likely developments in this field for the future Various recent examples of applications of molecular modeling to corrosion phenomena are provided throughout the text. Some of these applications include the molecular dynamics of interfaces, dissolution mechanisms and dealloying, interrogating surface chemistry, properties of passive films, localized corrosion, the metal/metal oxide interface, hydrogen embrittlement, stress corrosion cracking, the modeling of corrosion inhibitors, and computational materials discovery. Christopher Taylor Ph.D. is a Senior Researcher in the Research and Innovation Group at DNV GL, and an Associate Research Professor in the Fontana Corrosion Center of The Ohio Stat

Microstructure of financial markets

Автор: Jong, Frank De Rindi, Barbara
Название: Microstructure of financial markets
ISBN: 0521687276 ISBN-13(EAN): 9780521687270
Издательство: Cambridge Academ
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Цена: 20540 T
Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: The analysis of the microstructure of financial markets has been one of the most important areas of research in finance and has allowed scholars and practitioners alike to have a much more sophisticated understanding of the dynamics of price formation in financial markets. Frank de Jong and Barbara Rindi provide an integrated graduate level textbook treatment of the theory and empirics of the subject, starting with a detailed description of the trading systems on stock exchanges and other markets and then turning to economic theory and asset pricing models. Special attention is paid to models explaining transaction costs, with a treatment of the measurement of these costs and the implications for the return on investment. The final chapters review recent developments in the academic literature. End-of-chapter exercises and downloadable data from the book's companion website provide opportunities to revise and apply models developed in the text.

London and Paris as International Financial Centres in the Twentieth Century

Автор: Cassis Youssef
Название: London and Paris as International Financial Centres in the Twentieth Century
ISBN: 0199269491 ISBN-13(EAN): 9780199269495
Издательство: Oxford Academ
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Цена: 32520 T
Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Presents a comparison between London and Paris as international financial centres since the late nineteenth century. This book provides a long term perspective on the development of each centre, with attention devoted to pre-1914 years and to the last decades of the twentieth century, in order to contrast these two eras of globalization.

The role of the international financial centres in underdeveloped countries

Автор: Gorostiaga
Название: The role of the international financial centres in underdeveloped countries
ISBN: 0415594596 ISBN-13(EAN): 9780415594592
Издательство: Taylor&Francis
Рейтинг:
Цена: 75630 T
Наличие на складе: Невозможна поставка.
Описание: This reissue, first published in 1984, presents a study of the key phenomenon of global banking, carried out from special financial centres in underdeveloped countries, which contributed heavily to the contemporary debt crisis. This book gathers together previously disparate and unpublished data to give a detailed picture of the scope and the effects of transnational banking in the new international financial centres which have largely been set up since 1970.

Financial modelling with jump processes

Автор: Cont, Tankov
Название: Financial modelling with jump processes
ISBN: 1584884134 ISBN-13(EAN): 9781584884132
Издательство: Taylor&Francis
Рейтинг:
Цена: 75950 T
Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Presents an overview of the theoretical, numerical, and empirical aspects of using jump processes in financial modeling. This book demonstrates that the concepts and tools necessary for understanding and implementing models with jumps can be more intuitive that those involved in the Black Scholes and diffusion models.

Financial Institutions Management: A Risk Management Approach

Автор: Saunders
Название: Financial Institutions Management: A Risk Management Approach
ISBN: 1259010856 ISBN-13(EAN): 9781259010859
Издательство: McGraw-Hill
Рейтинг:
Цена: 24610 T
Наличие на складе: Невозможна поставка.
Описание: Provides an approach that focuses on managing return and risk in modern financial institutions.

Monte Carlo Methods in Financial Engineering

Автор: Glasserman
Название: Monte Carlo Methods in Financial Engineering
ISBN: 0387004513 ISBN-13(EAN): 9780387004518
Издательство: Springer
Рейтинг:
Цена: 43540 T
Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Monte Carlo simulation has become an essential tool in the pricing of derivative securities and in risk management. These applications have, in turn, stimulated research into new Monte Carlo methods and renewed interest in some older techniques.This book develops the use of Monte Carlo methods in finance and it also uses simulation as a vehicle for presenting models and ideas from financial engineering. It divides roughly into three parts. The first part develops the fundamentals of Monte Carlo methods, the foundations of derivatives pricing, and the implementation of several of the most important models used in financial engineering. The next part describes techniques for improving simulation accuracy and efficiency. The final third of the book addresses special topics: estimating price sensitivities, valuing American options, and measuring market risk and credit risk in financial portfolios.The most important prerequisite is familiarity with the mathematical tools used to specify and analyze continuous-time models in finance, in particular the key ideas of stochastic calculus. Prior exposure to the basic principles of option pricing is useful but not essential.The book is aimed at graduate students in financial engineering, researchers in Monte Carlo simulation, and practitioners implementing models in industry.Mathematical Reviews, 2004: "... this book is very comprehensive, up-to-date and useful tool for those who are interested in implementing Monte Carlo methods in a financial context."

The Development of the Financial Sector in Southeast Europe / Innovative Approaches in Volatile Environments

Автор: MatthГ¤us-Maier Ingrid, Pischke J.D. von
Название: The Development of the Financial Sector in Southeast Europe / Innovative Approaches in Volatile Environments
ISBN: 3540203273 ISBN-13(EAN): 9783540203278
Издательство: Springer
Рейтинг:
Цена: 37320 T
Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: KfW has been assigned responsibility by the German government and several other donors for projects designed to reconstruct the financial landscapes of Southeast Europe. These activities are recognized as quite successful in building sustainable financial institutions that serve the small end of the market, with special emphasis on microenterprise and small business. The KfW-managed projects have contributed to the overall stability of financial sectors and to economic recovery and growth through employment creation and investment. This book reviews experience gained and analyses the reasons for the successes achieved, options for further improvement, and scope for replicability in other transition and developing economies. A particularly interesting feature is that relatively small amounts of public funds can catalyse financial markets in volatile environments.

Financial Intermediation in Europe

Автор: Spajic Luke Drago
Название: Financial Intermediation in Europe
ISBN: 1402070098 ISBN-13(EAN): 9781402070099
Издательство: Springer
Рейтинг:
Цена: 87080 T
Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Two items were firmly on the European economic agenda in the 1990s: financial market integration and European monetary union (EMU). The former was supposed to have been achieved via the Single Market Act and the latter came into being on January 1, 1999. This study is concerned with a particular connection between the two themes, namely the process of financial intermediation and especially the role of banking. The book is centred on four key questions: -What happened to European banking before, during and after the implementation of the Single Market Act? -From a theoretical perspective, to what do banks owe their existence: what is special about banking, what makes banks tick and why do they matter? -How does competition in banking unfold: what are the main channels or competitive instruments in the process? -What are the links between the yield curve and the banking system: how do changes in the term structure of interest rates affect both bank pricing and portfolio allocation?This research explores competition among banks and other financial intermediaries, with specific implications for the asset allocation process and pricing policies in banking. This book provides the foundations for an additional perspective on optimal currency area theory (OCA). The links between financial and monetary integration (via financial intermediation and banking) offer another path towards understanding monetary transmission and, therefore, OCA theory. This study promotes the idea that banking and market imperfections are effectively two sides of the same coin. Financial intermediation, and the economics of banking, merit special consideration - especially in discovering the impact and effectiveness of financial integration and EMU.

EU Accession - Financial Sector Opportunities and Challenges for Southeast Europe

Автор: MatthГ¤us-Maier Ingrid, Pischke J. D. von
Название: EU Accession - Financial Sector Opportunities and Challenges for Southeast Europe
ISBN: 3540234268 ISBN-13(EAN): 9783540234265
Издательство: Springer
Рейтинг:
Цена: 40420 T
Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: A distinguished international group of central bankers, commercial bankers, entrepreneurs, academic advisors, policymakers, and representatives of development finance organizations and donor agencies, brought together by KfW, examines in this book the future of financial sector development in Southeast Europe. They explore ways to strengthen the banking sector in Southeast Europe, further promote SMEs, and improve access to financial services in the region. Experts and decision-makers assess the opportunities and challenges presented by the EU accession process and Basel II, and offer candid insight into the expanding role of the private sector in developing the financial landscape. The perspectives presented in this book will prompt discussion and intellectual exchange that will serve as a new starting point for further successful cooperative initiatives.

Accounting and Financial System Reform in Eastern Europe and Asia

Автор: McGee Robert W., Preobragenskaya Galina G.
Название: Accounting and Financial System Reform in Eastern Europe and Asia
ISBN: 0387257098 ISBN-13(EAN): 9780387257099
Издательство: Springer
Рейтинг:
Цена: 118180 T
Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: This book appeals to a wide segment of the academic and professional market. It will appeal to accounting and finance professors and students because the main theme of the book deals with accounting and financial system reform. It will appeal to economists in the subfields of transition economics and development economics because it addresses current issues in their field. It will also appeal to scholars in the field of Russian and East European Studies and Asian Studies because the book is about several East European and Asian countries. Policy analysts and consultants who deal with accounting, finance, transition economics or Eastern Europe or Asia will also find this book to be a valuable reference and source of current information.


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