Fundamentals of International Finance and Development: What You Need to Know, Enrique Carrasco
Автор: Ziemba William T Et Al Название: Problems In Portfolio Theory And The Fundamentals Of Financial Decision Making ISBN: 9814759147 ISBN-13(EAN): 9789814759144 Издательство: World Scientific Publishing Рейтинг: Цена: 85530.00 T Наличие на складе: Есть у поставщика Поставка под заказ. Описание: This book consists of invaluable introductions, tutorials and problems which are helpful for teaching purposes and have a very broad appeal and usage. The problems cover many aspects of static and dynamic portfolio theory as well as other important subjects such as arbitrage and asset pricing, utility theory, stochastic dominance, risk aversion and static portfolio theory, risk measures, dynamic portfolio theory and asset allocation. This material could be used with important books that cover these topics including MacLean-Ziemba's The Handbook of the Fundamentals of Financial Decision Making, and Ziemba-Vickson's Stochastic Optimization Models in Finance.
Автор: Ziemba William T Et Al Название: Problems In Portfolio Theory And The Fundamentals Of Financial Decision Making ISBN: 9814749931 ISBN-13(EAN): 9789814749930 Издательство: World Scientific Publishing Рейтинг: Цена: 33790.00 T Наличие на складе: Есть у поставщика Поставка под заказ. Описание: This book consists of invaluable introductions, tutorials and problems which are helpful for teaching purposes and have a very broad appeal and usage.
Автор: S. Kevin Название: Fundamentals of International Financial Management ISBN: 8120337913 ISBN-13(EAN): 9788120337916 Издательство: Mare Nostrum (Eurospan) Рейтинг: Цена: 12930.00 T Наличие на складе: Невозможна поставка. Описание: This concise and compact text explains, with great precision and clarity, the basic concepts, theories and practices of international business. The text is so significant because, in today’s modern globalised economic environment, international transactions form an integral part of economic activities. Businesses today are no more confined to national boundaries and have become truly international. Any budding or practising manager, especially of big companies, needs to know the fundamentals of international finance. And this book, written by Professor S. Kevin, who has a rich and long experience in teaching international finance, eminently fulfils this need.<br><br>The book begins with an explanation of the exchange rate mechanism of foreign currencies, factors influencing exchange rate fluctuations, and the trading mechanism in foreign exchange markets. As currency forwards, futures, options and swaps are the instruments of currency derivatives used as hedging and speculative tools, the book goes on to give a detailed description of the use of currency derivatives for hedging as well as speculative functions. It concludes with an analysis of international financial institutions and their functioning, the participants and instruments of global financial markets where international funds are raised, the many uses of international funds in the form of portfolio investments, and direct investments in host countries.<br><br>The book is primarily intended as a text for postgraduate students of commerce and management, chartered accountancy (CA) and chartered financial analysis (CFA). It would also be of immense value to practising professionals in the field of international finance.<br><br>Key Features:<br>Illustrates the concepts with the help of examples, figures and tables.<br>Clearly explains risk management tools and techniques.<br>Discusses the role of international financial institutions in the global financial market.<br>Is a handy text for self-study.
The 1997-8 Asian financial crisis exposed weaknesses in the region's national financial systems, but since then East Asia has become the world's most dynamic economic region. Domestic financial systems have developed, cross-border financial flows within the region are growing apace as demand from governments and large firms increases and as the capabilities of financial institutions develop, and governments have initiated regional cooperation aimed at preventing future crises and managing them if they occur.
This book examines the economies of Asia and the Pacific with reference to financial reform and liberalization, monetary policy frameworks, banking and capital markets, regulation and supervision and macroeconomic policies. Further, it asks what lessons have been learned from both the Asian financial crisis and the recent financial crisis, how to engender financial stability in the region, and how to ensure that the benefits of economic growth and financial development reach all members of society. Across four key sections, the chapters examine the future implications of historical studies of the relationships between financial development and growth; financial development including banks, non-bank financial institutions and capital markets; how financial stability is being sought in the region; and China's plans for capital account opening and renminbi internationalization and subsequent the policy implications for China's neighbours.
This book draws on papers originally presented to the 36th Pacific Trade and Development Conference held in Hong Kong in 2013, and features contributions from leading academics and economists from around the world. As such, it will be of great interest to students and scholars of Asian economics, Asia Pacific studies, international economics and international finance.
Название: Emerging issues in financial development : ISBN: 0821398288 ISBN-13(EAN): 9780821398289 Издательство: Mare Nostrum (Eurospan) Рейтинг: Цена: 35110.00 T Наличие на складе: Есть у поставщика Поставка под заказ. Описание: Since the last wave of financial crises in the late-1990s and early 2000s, the financial systems of Latin America and the Caribbean (LAC) have continued to gain in soundness, depth, and diversity. For all the gains, however, many challenges remain. In many respects, LAC’s financial services industry is underdeveloped by international comparisons, notably, bank credit to the private sector lags and domestic equity markets remain liquidity. Furthermore, the provision of long-term finance—whether to households, firms, or infrastructure—is probably well below what would be desired. <br><br>This book aims to meet the dual challenge of stock-taking and reassessment of the state of financial development in LAC, so as to set on firmer grounds the financial development agenda going forward. The chapters offer a comprehensive analysis of the status, prospects, and challenges of sustainable financial development in the region. Rather than going in detail into sector-specific issues, the book focuses on the main architectural issues, overall perspectives, and inter-connections. Its value added thus hinges on its holistic view of the development process, its broad coverage of the financial services industry beyond just banking, its emphasis on comparisons and benchmarking, its systemic perspective, and its explicit effort to incorporate the lessons from the recent global financial crisis.
Автор: Leader Название: Global Project Finance, Human Rights and Sustainable Development ISBN: 1107658519 ISBN-13(EAN): 9781107658516 Издательство: Cambridge Academ Рейтинг: Цена: 46470.00 T Наличие на складе: Есть у поставщика Поставка под заказ. Описание: Finance, policy and legal perspectives, including human rights and sustainable development, are brought to bear on a variety of case studies in order to examine the theoretical and practical implications of infrastructure projects that are funded through the project finance method, which combines private financing with public backing.
Автор: Montiel Название: Ten Crises ISBN: 0415539730 ISBN-13(EAN): 9780415539739 Издательство: Taylor&Francis Рейтинг: Цена: 53070.00 T Наличие на складе: Есть у поставщика Поставка под заказ. Описание: Financial crises are dramatic events. When they emerge, they tend to dominate the attention of the press and become the focus of policymakers. In one form or another, they have affected the lives of millions of people throughout the world. As references to 16th century Dutch tulips, 18th South Seas merchant ventures, or 1920s Florida real estate make clear, they have been around for a long time. At their worst, such as in the cases of the Great Depression or the current Great Recession, their effects have been felt worldwide, with the number of people affected counted into the billions. They have at times changed the course of history.
This book analyses ten of the most important financial crises of the last thirty years. The specific crises covered in the book are the 1982 Chilean crisis, the 1992 ERM crisis, the 1994 Mexican crisis, the 1997 Asian crisis, the 1998 Russian crisis, the 1999 Brazilian crisis, the 1999 Ecuadorian crisis, the 2000 Turkish crisis, the 2002 Argentine crisis, and the 2008 crisis in Iceland. The set includes the most important emerging-market crises of the last three decades as well as two particularly informative advanced-country crises, the ERM crisis of 1992 and the Icelandic crisis of 2008. A separate chapter is devoted to each crisis, and a brief concluding chapter sums up some of the key lessons that I believe that we can draw from these events.
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