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The Future of Financial Systems in the Digital Age: Perspectives from Europe and Japan, Heckel Markus, Waldenberger Franz


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Автор: Heckel Markus, Waldenberger Franz
Название:  The Future of Financial Systems in the Digital Age: Perspectives from Europe and Japan
ISBN: 9789811678295
Издательство: Springer
Классификация:




ISBN-10: 9811678294
Обложка/Формат: Hardcover
Страницы: 216
Вес: 0.48 кг.
Дата издания: 28.02.2022
Серия: Perspectives in law, business and innovation
Язык: English
Издание: 1st ed. 2022
Иллюстрации: 17 illustrations, color; 8 illustrations, black and white; xxiv, 190 p. 25 illus., 17 illus. in color.
Размер: 23.39 x 15.60 x 1.42 cm
Читательская аудитория: Professional & vocational
Подзаголовок: Perspectives from europe and japan
Ссылка на Издательство: Link
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Поставляется из: Германии
Описание:

Markus Heckel & Franz Waldenberger: Introduction

Nobuyuki Kinoshita: The Impact of the Digital Transformation on the Financial System

Kiyotaka Sasaki: Regulatory Oversight for a Digital Financial System - Challenges and Possible Responses

Hiromi Yamaoka: Digital Currencies

Ulrich Bindseil: CBDC Remuneration in a World with Negative Nominal Interest Rates

Philipp Sandner: Digital Programmable Euro: When will the Euro be Running on a Blockchain?

Takahide Kiuchi: Algorithmic Trading

Yuri Okina: Cashless Payment in Japan

Anna Omarini: The Future of Digital Banking: The Evolving Stages and a Forward Looking Perspective



The Wall Street Waltz - 90 Visual Perspectives Illustrated Lessons From Financial Cycles and Trends

Автор: Fisher
Название: The Wall Street Waltz - 90 Visual Perspectives Illustrated Lessons From Financial Cycles and Trends
ISBN: 0470139501 ISBN-13(EAN): 9780470139509
Издательство: Wiley
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Цена: 23220.00 T
Наличие на складе: Поставка под заказ.
Описание: Part of the "Fisher Investment Series", this title offers insights into the worlds of investing and finance.

Financial Cybersecurity Risk Management: Leadership Perspectives and Guidance for Systems and Institutions

Автор: Rohmeyer Paul, Bayuk Jennifer L.
Название: Financial Cybersecurity Risk Management: Leadership Perspectives and Guidance for Systems and Institutions
ISBN: 1484241932 ISBN-13(EAN): 9781484241936
Издательство: Springer
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Цена: 51230.00 T
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Описание:

Understand critical cybersecurity and risk perspectives, insights, and tools for the leaders of complex financial systems and markets. This book offers guidance for decision makers and helps establish a framework for communication between cyber leaders and front-line professionals. Information is provided to help in the analysis of cyber challenges and choosing between risk treatment options.
Financial cybersecurity is a complex, systemic risk challenge that includes technological and operational elements. The interconnectedness of financial systems and markets creates dynamic, high-risk environments where organizational security is greatly impacted by the level of security effectiveness of partners, counterparties, and other external organizations. The result is a high-risk environment with a growing need for cooperation between enterprises that are otherwise direct competitors. There is a new normal of continuous attack pressures that produce unprecedented enterprise threats that must be met with an array of countermeasures. Financial Cybersecurity Risk Management explores a range of cybersecurity topics impacting financial enterprises. This includes the threat and vulnerability landscape confronting the financial sector, risk assessment practices and methodologies, and cybersecurity data analytics. Governance perspectives, including executive and board considerations, are analyzed as are the appropriate control measures and executive risk reporting.What You’ll Learn
Analyze the threat and vulnerability landscape confronting the financial sectorImplement effective technology risk assessment practices and methodologiesCraft strategies to treat observed risks in financial systemsImprove the effectiveness of enterprise cybersecurity capabilitiesEvaluate critical aspects of cybersecurity governance, including executive and board oversightIdentify significant cybersecurity operational challengesConsider the impact of the cybersecurity mission across the enterpriseLeverage cybersecurity regulatory and industry standards to help manage financial services risksUse cybersecurity scenarios to measure systemic risks in financial systems environmentsApply key experiences from actual cybersecurity events to develop more robust cybersecurity architecturesWho This Book Is For Decision makers, cyber leaders, and front-line professionals, including: chief risk officers, operational risk officers, chief information security officers, chief security officers, chief information officers, enterprise risk managers, cybersecurity operations directors, technology and cybersecurity risk analysts, cybersecurity architects and engineers, and compliance officers

The Digital Disruption of Financial Services: International Perspectives

Автор: Lechman Ewa, Marszk Adam
Название: The Digital Disruption of Financial Services: International Perspectives
ISBN: 1032057696 ISBN-13(EAN): 9781032057699
Издательство: Taylor&Francis
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Цена: 148010.00 T
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Описание: This book contributes to the present state of knowledge, offering the reader broad evidence on how new digital technologies impact financial systems. It focuses on both macro- and micro-perspectives of ICT influence on financial markets.

Designing financial systems in transition economies: Strategies for reform in Central and Eastern Europe

Автор: Meyendorf A., Thakor A. (eds.)
Название: Designing financial systems in transition economies: Strategies for reform in Central and Eastern Europe
ISBN: 0262133911 ISBN-13(EAN): 9780262133913
Издательство: MIT Press
Цена: 14190.00 T
Наличие на складе: Нет в наличии.
Описание: Essays on the design of financial systems for countries in transition to a market-based economy.

The New Europe: Evolving Economic and Financial Systems in East and West

Автор: D.E. Fair; R. Raymond
Название: The New Europe: Evolving Economic and Financial Systems in East and West
ISBN: 9401047634 ISBN-13(EAN): 9789401047630
Издательство: Springer
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Цена: 139750.00 T
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Описание: The papers collected in this volume are those presented at the seventeenth Collo- quium arranged by the Societe Universitaire Europeenne de Recherches Financieres (SUERF), which took place in Berlin in October 1992.

Critical and Feminist Perspectives on Financial and Economic Crises

Автор: Fukuda-Parr Sakiko, Heintz James, Seguino Stephani
Название: Critical and Feminist Perspectives on Financial and Economic Crises
ISBN: 1138886378 ISBN-13(EAN): 9781138886377
Издательство: Taylor&Francis
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Цена: 35720.00 T
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Описание:

Economic and financial crises have become perennial features of today's global economy. Macroeconomic theories of crisis, including the global crisis that unfolded in 2008, emphasize the role of financial deregulation; capital flow imbalances; and growing debt, fueled by income and wealth inequality. These approaches tend to be divorced from feminist thinking which analyzes broader distributional dynamics transmitted through structural channels and government policy responses, with an emphasis on gender, race, class and ethnicity. This volume brings together innovative thinking from heterodox macroeconomists and feminist economists to explore the causes, consequences, and ramifications of economic crises. By doing so, it highlights aspects of the economy that are frequently overlooked or ignored, such as the impact of crises on the vast amount of unpaid work which women perform relative to men.

The collection of international studies assembled here takes an innovative approach to analyzing a range of issues, from the subprime mortgage crisis to the gendered effects of austerity to the role of the International Monetary Fund in governing an unstable global economy. In so doing, it looks beyond causes and consequences and points to new directions for macroeconomic and financial policy.

This book was originally published as a special issue of Feminist Economics.


The Future of Financial Systems and Services

Автор: Edward P.M. Gardener
Название: The Future of Financial Systems and Services
ISBN: 1349104418 ISBN-13(EAN): 9781349104413
Издательство: Springer
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Цена: 65210.00 T
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Описание: This volume of essays comprises a systematic collection of views from scholars and practitioners on the future of financial systems and services and reflects the fact that the financial industry worldwide is involved in a major restructuring process.

Financial Theory: Perspectives From China

Автор: Peng Xingyun
Название: Financial Theory: Perspectives From China
ISBN: 1938134311 ISBN-13(EAN): 9781938134319
Издательство: World Scientific Publishing
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Цена: 141510.00 T
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Описание: China Is Now The Second Largest Economy In The World, With An Increasingly Efficient And Open Financial System. Many Firms, Agents And Financial Institutions Have Realized The Potential In Making Money In China. Financial Theory: Perspectives From China Serves As A Timely Textbook Providing A Unique Introduction To Economics Theory, With A Focus On Money, Banking And Financial Systems, Through Examples Based Mainly On China'S Financial Practices. It Contains Up-To-Date Developments Of Theory And Practices, As Well As Various Interesting Stories On China'S Financial System. Topics Such As Financial Institutions, Capital Markets, Debt Securities Markets, Mutual Fund Markets, Money Markets, Foreign Exchange And Financial Derivative Markets Are Discussed In Depth. Financial Theories Are Supplemented With Illustrations From China'S Money Supply Mechanism And Monetary Policy System, China'S Financial Regulatory And Supervision System, As Well As China'S Financial System And How It Has Liberalized And Opened Up To The Rest Of The World.Readers Will Find Detailed Examinations Of Financial Theories, Exemplified And Reinforced By The Inclusion Of Different Financial Cases And Phenomena, Each Intriguing In Their Own Right. This Book Provides Readers With A Deeper Understanding Of China'S Financial Practices, Providing Vital Knowledge For Investing In China And Engaging Businesses There. Undergraduate Students In Economics And Finance And Those Keen On Becoming A Player In China'S Financial Markets Will No Doubt Find This Volume Useful And Necessary.

Money at the Margins: Global Perspectives on Technology, Financial Inclusion and Design

Автор: Maurer Bill, Musaraj Smoki, Small Ivan
Название: Money at the Margins: Global Perspectives on Technology, Financial Inclusion and Design
ISBN: 1785336533 ISBN-13(EAN): 9781785336539
Издательство: Berghahn
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Цена: 122410.00 T
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Описание:

Mobile money, e-commerce, cash cards, retail credit cards, and more—as new monetary technologies become increasingly available, the global South has cautiously embraced these mediums as a potential solution to the issue of financial inclusion. How, if at all, do new forms of dematerialized money impact people’s everyday financial lives? In what way do technologies interact with financial repertoires and other socio-cultural institutions? How do these technologies of financial inclusion shape the global politics and geographies of difference and inequality? These questions are at the heart of Money at the Margins, a groundbreaking exploration of the uses and socio-cultural impact of new forms of money and financial services.


Comparative Takeover Regulation: Global and Asian Perspectives

Автор: Umakanth Varottil, Wai Yee Wan
Название: Comparative Takeover Regulation: Global and Asian Perspectives
ISBN: 1108707262 ISBN-13(EAN): 9781108707268
Издательство: Cambridge Academ
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Цена: 46470.00 T
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Описание: Comparative Takeover Regulation compares the laws relating to takeovers in leading Asian economies and relates them to broader global developments. It is ideal for educational institutions that teach corporate law, corporate governance, and mergers and acquisitions, as well as for law firms, corporate counsel and other practitioners.

Understanding Bankruptcy: Global Issues, Perspectives & Challenges

Автор: Ignatius Ekanem
Название: Understanding Bankruptcy: Global Issues, Perspectives & Challenges
ISBN: 1536123994 ISBN-13(EAN): 9781536123999
Издательство: Nova Science
Рейтинг:
Цена: 232310.00 T
Наличие на складе: Невозможна поставка.
Описание: This book offers a global perspective and understanding on how to handle debt, manage finances efficiently and avoid bankruptcy both in business and at a personal level. After the trauma of the recent global financial crisis and the phenomenally higher rates of bankruptcy than there were in previous generations, this book is timely. It is believed that the rise in the level of bankruptcy is partly as a result of the escalating debt problems caused by easy availability of credit before the global financial crisis and the change in generational attitudes towards debt as well as partly due to poor financial management and general financial illiteracy. The contributors to this book come from academic backgrounds within the UK, South America and Europe who have worked and researched for many years on the issues presented in this book. The book utilizes both quantitative and qualitative methodologies and presents findings from rich, developed nations as well as poor, developing nations which examine global issues, perspectives and challenges of bankruptcy. Thus, the book provides both conceptual and empirical arguments. The book provides an invaluable contribution and insight into debt and bankruptcy, the bankruptcy process, debt management and the prediction of signs of business failure. It does this by using the latest research and leading-edge thinking both nationally and globally to explain the issues comprehensively and concisely, achieving a good balance between conceptual and practical perspectives. In this respect, the book offers the reader an opportunity (through a combination of chapters) not only to acquire knowledge of bankruptcy and the bankrupt both quantitative and qualitative methodologies and presents findings from rich, developed nations as well as poor, developing nations which examine global issues, perspectives and challenges of bankruptcy. Thus, the book provides both conceptual and empirical arguments. The book provides an invaluable contribution and insight into debt and bankruptcy, the bankruptcy process, debt management and the prediction of signs of business failure. It does this by using the latest research and leading-edge thinking both nationally and globally to explain the issues comprehensively and concisely, achieving a good balance between conceptual and practical perspectives. In this respect, the book offers the reader an opportunity (through a combination of chapters) not only to acquire knowledge of bankruptcy and the bankruptcy process, but also the awareness of actions to take when faced with debt and bankruptcy.

Pensions: Global Issues, Perspectives & Challenges

Автор: Alexandra Webb
Название: Pensions: Global Issues, Perspectives & Challenges
ISBN: 1536124621 ISBN-13(EAN): 9781536124620
Издательство: Nova Science
Рейтинг:
Цена: 83410.00 T
Наличие на складе: Невозможна поставка.
Описание: Understanding the strategies underlying pension investing is important because pension assets are one of the largest pools of investment assets in the world. Chapter One examines the reasons for the deadlock, showing that it is linked to particular institutional configurations of the French pension system. Chapter Two reports on how the widespread application of robots and artificial intelligence may dramatically reduce the number of human workers in employment, such that more people will be either unemployed or out of job market altogether. Chapter Three discuss both economic theories that predict what rational pension investors would do (normative theories) and theories that attempt to explain why individual pension participants hold the portfolios that they actually hold (positive theories). Chapter Four develops a variable annuity pension scheme in which the insureds are entitled to participate in the annual financial results of the invested funds, with an embedded option to withdraw such results during the whole contract duration, that is during both the deferment and the annuitisation periods. The generic case of a pension fund that it is not sufficiently auto financed and it is thoroughly maintained with an external financing effort is considered in Chapter Five.


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