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Financial Technology and the Law, Goldbarsht


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Автор: Goldbarsht
Название:  Financial Technology and the Law
ISBN: 9783030880385
Издательство: Springer
Классификация:


ISBN-10: 3030880389
Обложка/Формат: Soft cover
Страницы: 320
Вес: 0.50 кг.
Дата издания: 19.02.2023
Серия: Law, Governance and Technology Series
Язык: English
Издание: 1st ed. 2022
Иллюстрации: 4 illustrations, color; viii, 320 p. 4 illus. in color.
Размер: 235 x 155
Читательская аудитория: Professional & vocational
Основная тема: Law
Подзаголовок: Combating financial crime
Ссылка на Издательство: Link
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Поставляется из: Германии
Описание: Blockchains and cryptocurrencies, open banking, virtual assets, and artificial intelligence have become the buzzword of this decade. This book focuses on these ‘disruptive’ financial technologies that provide alternatives to the traditional financial services typically offered by regulated financial institutions. Financial technologies are characterized by the innovative ways in which they initiate, support or extend traditional financial services or offer alternative financial pathways and products. However, these financial technologies also pose money laundering and terrorist and proliferation financing as well as cyber security risks that require mitigation. This edited volume addresses a range of regulatory and enforcement challenges related to financial technology and financial crime. The book responds to the United Nations’ Sustainable Development Goals, in particular in relation to economic development, employment, national security, law enforcement and social well-being. Fostering responsible financial innovation promotes long-term economic growth, inclusion, and improved living standards. This book explores how to promote financial innovation while mitigating risks in a way that ensures financial prosperity and social inclusion.
Дополнительное описание: Introduction.- Overview of financial technology and financial crime (Doron Goldbarsht and Louis de Koker).- Part I Managing Both Sides of Risk.- Informal markets and cryptocurrencies (Niko Passas).- Cryptocurrencies Transactions in the UK Real Estate Mark


Derivative Products and Pricing: The Swaps & Financial Derivatives Library, 3rd Edition Revised

Автор: Satyajit Das
Название: Derivative Products and Pricing: The Swaps & Financial Derivatives Library, 3rd Edition Revised
ISBN: 0470821647 ISBN-13(EAN): 9780470821640
Издательство: Wiley
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Цена: 116160.00 T
Наличие на складе: Поставка под заказ.
Описание: Derivative Products & Pricing consists of 4 Parts divided into 16 chapters covering the role and function of derivatives, basic derivative instruments (exchange traded products (futur and options on future contracts) and over-the-counter products (forwards, options and swaps)), the pricing and valuation of derivatives instruments, derivative trading and portfolio management.

Martingale Methods in Financial Modelling

Автор: Musiela Marek
Название: Martingale Methods in Financial Modelling
ISBN: 3540209662 ISBN-13(EAN): 9783540209669
Издательство: Springer
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Цена: 78250.00 T
Наличие на складе: Есть
Описание: In the 2nd edition some sections of Part I are omitted for better readability, and a brand new chapter is devoted to volatility risk. As a consequence, hedging of plain-vanilla options and valuation of exotic options are no longer limited to the Black-Scholes framework with constant volatility. The theme of stochastic volatility also reappears systematically in the second part of the book, which has been revised fundamentally, presenting much more detailed analyses of the various interest-rate models available: the authors' perspective throughout is that the choice of a model should be based on the reality of how a particular sector of the financial market functions, never neglecting to examine liquid primary and derivative assets and identifying the sources of trading risk associated. This long-awaited new edition of an outstandingly successful, well-established book, concentrating on the most pertinent and widely accepted modelling approaches, provides the reader with a text focused on practical rather than theoretical aspects of financial modelling.

Inclusive financial development

Автор: Ahmad H. Ahmad, David T. Llewellyn, Victor Murinde
Название: Inclusive financial development
ISBN: 1800376375 ISBN-13(EAN): 9781800376373
Издательство: Edward Elgar Publishers
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Цена: 177410.00 T
Наличие на складе: Поставка под заказ.
Описание: Inclusive Financial Development provides theoretical and empirical analyses of the nature of financial inclusion. The contributing authors explore the impediments to inclusion that exist around the world, the macro and stability implications, and the regulation dimension.

Households as Corporate Firms

Автор: Samphantharak Krislert
Название: Households as Corporate Firms
ISBN: 0521124166 ISBN-13(EAN): 9780521124164
Издательство: Cambridge Academ
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Цена: 20700.00 T
Наличие на складе: Есть
Описание: This investigation proposes a conceptual framework for measurement necessary for an analysis of household finance and economic development. The authors apply corporate financial accounting and create financial accounts for households, using an integrated household survey. The authors also illustrate how to apply the accounts to an analysis of household finance.

Governance and Accountability

Автор: Ghosh D.N.,
Название: Governance and Accountability
ISBN: 0195689313 ISBN-13(EAN): 9780195689310
Издательство: Amazon Internet
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Цена: 28040.00 T
Наличие на складе: Есть
Описание: These essays provide an insightful account of how expanding capitalism has emerged as the only dynamic engine of growth which has deep implications for the management of national economics. They give an account of the growing importance of the relationship between business and polity and the impact on corporate governance and global business.

Mathematical Methods for Financial Markets

Автор: Monique Jeanblanc, Marc Yor, Marc Chesney
Название: Mathematical Methods for Financial Markets
ISBN: 1852333766 ISBN-13(EAN): 9781852333768
Издательство: Springer
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Цена: 58690.00 T
Наличие на складе: Есть
Описание: Presents stochastic processes of common use in mathematical finance. This book consists of eleven chapters, interlacing on the one hand financial concepts and instruments, Brownian motion, diffusion processes, Levy processes, together with the basic properties of these processes. It deals with continuous path processes and discontinuous processes.

Financial Markets in Practice: From Post-Crisis Intermediation to FinTechs

Автор: Charles-Albert Lehalle, Amine Raboun
Название: Financial Markets in Practice: From Post-Crisis Intermediation to FinTechs
ISBN: 9811252572 ISBN-13(EAN): 9789811252570
Издательство: World Scientific Publishing
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Цена: 84480.00 T
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Описание: Financial Markets in Practice: From Post-Crisis Intermediation to FinTechs delivers an overview of the development of risk-transformation undertaken by the financial services industry from the perspective of quantitative finance. It provides an instructional and comprehensive explanation of the structure of the financial system as a network of risk suppliers and risk consumers, where different categories of market participants buy, transform, net, and re-sell different kinds of risks. This risk-transformation oriented view is supported by the changes that followed the last global financial crisis: consumers of financial products asked for less complex risk transformations, regulators demanded limiting risks inside financial institutions to the maximum extent possible, and market participants turned to run mass market-like businesses and away from bespoke 'haute couture'-like businesses.This book portrays the network of intermediaries that compose the financial system, describes their most common business models, explains the exact role of each kind of market participant, and underlines the interaction between them. It seeks to reveal the potential disintermediation that could occur inside the financial sector, led by FinTechs and Artificial Intelligence-based innovations.Readers are invited to reconsider the role of market participants in the post-crisis world and are prepared for the next wave of changes driven by data science, AI, and blockchain. Amid these innovations, quantitative finance will be increasingly involved in all aspects of the financial system. This handy resource helps practitioners from both the buy-side and sell-side gain insights to, and provides an overview of, business models in the financial system from an intermediation perspective, and guides students to comprehensively understand the complex ecosystem in which they will evolve.

Firefighting

Автор: Bernanke Ben S
Название: Firefighting
ISBN: 1788163362 ISBN-13(EAN): 9781788163361
Издательство: Profile
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Цена: 12130.00 T
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Описание: The primary architects of the response to the 2008 financial crisis offer a magnificent big-picture synthesis - from why it happened to where we are now.

Crash of 2008 and what it means

Автор: Soros, George
Название: Crash of 2008 and what it means
ISBN: 1586486993 ISBN-13(EAN): 9781586486990
Издательство: Perseus
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Цена: 14070.00 T
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Описание: A New York Times bestseller on the financial crisis--now updated to address the current economic landscape

What Investors Really Want: Know What Drives Investor Behavior and Make Smarter Financial Decisions

Автор: Statman Meir
Название: What Investors Really Want: Know What Drives Investor Behavior and Make Smarter Financial Decisions
ISBN: 0071741658 ISBN-13(EAN): 9780071741651
Издательство: McGraw-Hill
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Цена: 32020.00 T
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Описание: WHAT INVESTORS WANT

Praise for What Investors Really Want

"We all share behavioral traits that are major roadblocks to intelligent financial decisions. Bottom line: if you really want to achieve investment success, understand yourself and eliminate or minimize these traits. This book will help you do exactly that."
-- John C. Bogle, Founder, Vanguard Funds

"What Investors Really Want enables us to "post mortem" the financial decisions of ourselves and others. The book is extremely valuable for theory, as a survey of how the human animal makes financial decisions, and for the practice of making smarter financial decisions."
--Harry M. Markowitz, Rady School of Management, University of California, San Diego; winner, Nobel Memorial Prize in Economic Sciences

"In investing, we are often our own worst enemies. Meir Statman, an expert in behavioral finance, explains the common errors to which we are prone and helps us make smarter decisions about our investments."
--Burton Malkiel, bestelling author of A Random Walk Down Wall Street

"A masterly review of the many pitfalls and challenges facing market participants today, written by one of the founders of the field of behavioral finance. This volume should be required reading for all investors and their financial advisors "
--Andrew W. Lo, Harris & Harris Group Professor of Finance at the MIT Sloan School of Management

"What a gem Meir Statman is a wise and engaging teacher, and after reading his book, I will be a wiser, better, less anxious investor."
--Don Ezra, co-chair, global consulting, Russell Investments, and co-author of Pension Fund Excellence and The Retirement Plan Solution

"The first step to good investing is always the same, 'know thyself'. If you read this book and don't recognize a lot of yourself in it, you're just not paying attention "
--Cliff Asness, founding and managing principal, AQR Capital Management LLC

"Meir Statman, a leading light of behavioral finance, shines the bright light of modern neuropsychology on all the mental demons that conspire to make you poor. He'll make you laugh, he'll make you cry and, best of all, he'll improve your bottom line."
--William Bernstein, bestselling author of The Intelligent Asset Allocator

Combining the new field of behavioral finance with the real world of investing, this engaging new book explores the mind-sets and motivations behind the major money decisions--and most common mistakes--that investors make every day. With insider's insight, and a storyteller's voice, behavioral finance expert Meir Statman reveals What Investors Really Want . . .

  • Investors want bigger profits with lower risks. How our desire for free investment lunches can leave us with no lunches
  • Investors want to play and win. How our desire to win the investment game can turn us into losers
  • Investors want to save money for tomorrow and spend it today. How we struggle between spending too much and spending too little
  • Investors want status, respect, and social responsibility. How to know what's really important in life
  • Investors do not want to face financial losses. How to recognize and confront the regret that accompanies losses

You'll also learn how age, gender, genetics, and personality affect your investment decisions and how people of different countries and cultures think about risks and returns, poverty, and wealth. You'll discover how behavioral finance provides key insights into the behavior that has rocked investment markets in recent years. And, most important, you'll learn to recognize the desires, thoughts, and emotions that drive your own investment decisions--so you can drive better on your road to investment success.

New financial order

Автор: Shiller, Robert J.
Название: New financial order
ISBN: 0691120110 ISBN-13(EAN): 9780691120119
Издательство: Wiley
Рейтинг:
Цена: 36960.00 T
Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Describes six fundamental ideas for using modern information technology and advanced financial theory to temper basic risks that have been ignored by risk management institutions - risks to the value of our jobs and our homes, to the vitality of our communities, and to the very stability of national economies.

Unconventional Monetary Policy and Financial Stability: The Case of Japan

Автор: Stenfors A., Toporowski J, ed.
Название: Unconventional Monetary Policy and Financial Stability: The Case of Japan
ISBN: 0367145952 ISBN-13(EAN): 9780367145958
Издательство: Taylor&Francis
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Цена: 148010.00 T
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Описание: Having faced a crisis in its banking sector nearly a decade earlier, Japan was a pioneer in the use of many unconventional monetary policies used during the global financial crisis of 2008-09. This book assesses measures taken by Japan and examines what they have meant for the practice of economic policy.


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