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203,72 EUR*
Details Financial Institutions Management: A Risk Management Approach (McGraw-Hill/Irwin Series in Finance, Insurance and Real Estate)

Saunders and Cornett's "Financial Institutions Management: A Risk Management Approach 7th edition" provides an innovative approach that focuses on managing return and risk in modern financial institutions. The central theme of this book, is that the ...

33,09 EUR*
Details Treasury Management: Tools And Techniques For Countering Financial Risks (Cima Finance Skills)

Sets out the role and activities of the treasury manager and considers a range of treasury management techniques and tools. Many of these are, by their nature, very technical. This book seeks to provide a comprehensive overview of treasury management ...

61,90 EUR*
Details Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies (Wiley Finance Series)

This textbook will be designed for fixed--income securities courses taught on MSc Finance and MBA courses. There is currently no suitable text that offers a a Hull--typea book for the fixed income student market. This book aims to fill this need. The ...

321,76 EUR*
Details Strategy, Value and Risk - The Real Options Approach: Reconciling Innovation, Strategy and Value Management (Finance and Capital Markets Series)

Strategy, Value and Risk - The Real Options Approach "Real Options", a type of advanced financial analysis, applies financial option theory to real assets and offers a strategic framework that recognizes the need for management flexibility and to ...

74,53 EUR*
Details Risk Management in Trading: Techniques to Drive Profitability of Hedge Funds and Trading Desks (Wiley Finance Editions)

A comprehensive resource for understanding how to minimize risk and increase profits In this accessible resource, Wall Street trader and quantitative analyst Davis W. Edwards offers a definitive guide for nonprofessionals which describes the ...

79,90 EUR*
Details Credit Risk Measurement: New Approaches to Value at Risk and Other Paradigms (Wiley Finance)

Credit Risk Measurement Credit risk management is the result of an explosion of aggressive development of new techniques. This text provides comprehensive coverage of models to measure and manage individual and counter-party risk.

129,00 EUR*
Details Securities Operations: A Guide to Trade and Position Management (Wiley Finance Series)

Securities Operations There are certain risks associated with the conclusion of a securities transaction, but good training and a firm understanding of post-transaction operations can lessen that risk. This comprehensive guide is dedicated to serving ...

33,43 EUR*
Details Risk Management in Consumer Financial Institutions: Modern Tools & Guidelines for All Business Units, Including Country Managers and Ceos

Risk Management in Consumer Financial Institutions Written for consumer banking or similar financial institutions staffs, Risk Management in Consumer Financial Institutions by Jesus Cornejo shares the brass tacks of the consumer finance industry ...

65,95 EUR*
Details The Principles of Banking (Wiley Finance Editions)

The ultimate guide for bank senior management: how to survive and thrive throughout the business cycle An essential guide for bankers around the world that reiterates that the primary requirement of banking--sound capital and liquidity risk management ...

47,99 EUR*
Details Finance for Food: Towards New Agricultural and Rural Finance

This book reflects the current state of discussion about agricultural and rural finance in developing and transition countries. It provides insight into specific themes, such as commodity value chains, farm banking and risk management in agricultural ...

61,94 EUR*
Details Handbook of Islamic Banking

Handbook of Islamic Banking Comprises 25 studies on Islamic banking and finance. This book provides an analysis of the workings of Islamic banking and finance. It explores subjects such as governance and risk management, securities and investment ...

60,95 EUR*
Details Econometrics of Financial Markets

The past twenty years have seen an extraordinary growth in the use of quantitative methods in financial markets. Finance professionals now routinely use sophisticated statistical techniques in portfolio management, proprietary trading, risk management ...