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Bank Capital and Risk-Taking, St?phanie M. Stolz


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Цена: 125770.00T
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При оформлении заказа до: 2025-07-28
Ориентировочная дата поставки: Август-начало Сентября
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Автор: St?phanie M. Stolz
Название:  Bank Capital and Risk-Taking
ISBN: 9783642421020
Издательство: Springer
Классификация:
ISBN-10: 3642421024
Обложка/Формат: Paperback
Страницы: 168
Вес: 0.27 кг.
Дата издания: 2007
Серия: Kieler Studien - Kiel Studies
Язык: English
Иллюстрации: 37 black & white tables, biography
Размер: 234 x 156 x 9
Читательская аудитория: General (us: trade)
Подзаголовок: The impact of capital regulation, charter value, and the business cycle
Ссылка на Издательство: Link
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Поставляется из: Германии
Описание: The year-long consultations on Basel II mirror the international popularity of capital requirements as a regulatory instrument. Yet, the impact of capital requirements on banks` behavior is not fully understood. The aim of this study is to contribute to this understanding.

Financial Crisis, Corporate Governance, and Bank Capital

Автор: Sanjai Bhagat
Название: Financial Crisis, Corporate Governance, and Bank Capital
ISBN: 1107170648 ISBN-13(EAN): 9781107170643
Издательство: Cambridge Academ
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Цена: 45410.00 T
Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: This book proposes a solution to the `too big to fail` problem that will help to prevent future financial crises through the restructuring of executive incentive programmes. It will be of great value to corporate executives, corporate board members, institutional investors and economic policymakers, as well as students studying finance, economics and law.

Handbook of Basel III Capital: Enhancing Bank Capi tal in Practice

Автор: Juan Ramirez
Название: Handbook of Basel III Capital: Enhancing Bank Capi tal in Practice
ISBN: 1119330823 ISBN-13(EAN): 9781119330820
Издательство: Wiley
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Цена: 71810.00 T
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Описание: A deeper examination of Basel III for more effective capital enhancement The Handbook of Basel III Capital Enhancing Bank Capital in Practice delves deep into the principles underpinning the capital dimension of Basel III to provide a more advanced understanding of real-world implementation.

Capital Markets: Institutions, Instruments, and Risk Management

Автор: Fabozzi Frank J. Cfa
Название: Capital Markets: Institutions, Instruments, and Risk Management
ISBN: 0262029480 ISBN-13(EAN): 9780262029483
Издательство: MIT Press
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Цена: 146720.00 T
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Описание:

The substantially revised fifth edition of a textbook covering the wide range of instruments available in financial markets, with a new emphasis on risk management.

Over the last fifty years, an extensive array of instruments for financing, investing, and controlling risk has become available in financial markets, with demand for these innovations driven by the needs of investors and borrowers. The recent financial crisis offered painful lessons on the consequences of ignoring the risks associated with new financial products and strategies. This substantially revised fifth edition of a widely used text covers financial product innovation with a new emphasis on risk management and regulatory reform. Chapters from the previous edition have been updated, and new chapters cover material that reflects recent developments in financial markets.

The book begins with an introduction to financial markets, offering a new chapter that provides an overview of risk -- including the key elements of financial risk management and the identification and quantification of risk. The book then covers market participants, including a new chapter on collective investment products managed by asset management firms; the basics of cash and derivatives markets, with new coverage of financial derivatives and securitization; theories of risk and return, with a new chapter on return distributions and risk measures; the structure of interest rates and the pricing of debt obligations; equity markets; debt markets, including chapters on money market instruments, municipal securities, and credit sensitive securitized products; and advanced coverage of derivative markets. Each chapter ends with a review of key points and questions based on the material covered.


Social Capital and Risk Sharing

Автор: Mirakhor
Название: Social Capital and Risk Sharing
ISBN: 1137476044 ISBN-13(EAN): 9781137476043
Издательство: Springer
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Цена: 97820.00 T
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Описание: 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.

Risk Management and Shareholders` Value in Banking - From Risk Measurement Models to Capital Allocation Policies

Автор: Sironi
Название: Risk Management and Shareholders` Value in Banking - From Risk Measurement Models to Capital Allocation Policies
ISBN: 0470029781 ISBN-13(EAN): 9780470029787
Издательство: Wiley
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Цена: 71810.00 T
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Описание: Risk Management and Shareholders` Value in Banking covers all main aspects of risk management, capital management and value creation for financial institutions; it is structured in six parts. Part One covers the measurement and management of the interest rate risk on all assets and liabilities of a banking institution.

The ART of Risk Management: Alternative Risk Transfer, Capital Structure, and the Convergence of Insurance and Capital Markets

Автор: Christopher L. Culp
Название: The ART of Risk Management: Alternative Risk Transfer, Capital Structure, and the Convergence of Insurance and Capital Markets
ISBN: 0471124958 ISBN-13(EAN): 9780471124955
Издательство: Wiley
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Цена: 67760.00 T
Наличие на складе: Поставка под заказ.
Описание: Learn about today's hottest new risk management tools One of the hottest areas of finance today, alternative risk transfer, or ART, refers to the use of various insurance products to manage market, credit, operational, legal, environmental, and other forms of risk. As the capital and insurance markets continue to converge, the number and complexity of new risk-defraying insurance products available to corporations, brokerages, money managers and other financial professionals will continue to grow. Expert Christopher L. Culp uses case studies of recent ART transactions used by risk managers to put the field into perspective for financial professionals and to acquaint them with the various types of risk control products now available. In addition heplores, in-depth, the links between ART, derivatives and bank-arranged risk financing, and he explains the key differences between classic insurance products and financial guarantees, risk financing, bundled layering, and other ART forms.


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