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Martyn F. Warren
Financial Management for Farmers and Rural Managers

— y.
Publisher: —
Description: — [detailed...]

ISBN: 0632048719
Book size: —; Page extent: —.

 

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Jo Ann Hankin, Alan G. Seidner, John T. Zietlow
Financial Management for Nonprofit Organizations (Wiley Nonprofit Law, Finance and Management Series)

— y.
Publisher: —
Description: This cash management and investment handbook for nonprofit managers helps managers from diverse backgrounds learn to manage their organization`s money. It examines traditional treasury functions including banking and cash flow and explores investment management and strategies for managing excess cash, endowment, and long-term (planned) gifts. It also examines financial management strategies that impact cash flow, including borrowing, risk management, benchmarking, and long-term planning. Addresses the needs of all types and sizes of organizations, from small religious groups and community social service agencies to major cultural institutions and colleges and universities. Includes a diskette with spreadsheet solutions to common financial management problems, such as interest rate calculations, basic yield calculations, financial rations and more. [detailed...]

ISBN: 0471168424
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Jae K. Shim, Joel Siegel
Financial Management for Nonprofits: The Complete Guide to Maximizing Resources and Managing Assets

— y.
Publisher: —
Description: AS a financial manager of a nonprofit organization, are you so preoccupied with its social and welfare objectives that you lose sight of operations efficiency and operating cost controls? In a time when you risk potential government cutbacks at any moment, informed resource management is more critical than ever. Financial Management for Nonprofits is a practical guide for financial managers in a variety of nonprofit organizations including charities, educational and medical institutions and religious organizations. Distinctive in its generous use of case stuides, examples and illustrations, this book also distinguishes itself through its emphasis on software. Its free software disk will help you to perform break-even, Cost-Value-Profit (CVP), financial ratio analysis, and `what if` analysis, and an appendix reviews and rates other available sofware programs. Financial Management for Nonprofits covers: Operational differences between nonprofit and for-profit corporations. Accounting… [detailed...]

ISBN: 0786308508
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Norman V Carroll
Financial Management for Pharmacists: A Decision-Making Approach

2006 y.
Publisher: —
Description: This comprehensive, clearly written textbook teaches pharmacy students and pharmacists the basics of financial accounting, management accounting, and finance, and equips them with the financial skills needed in pharmacy practice. The Third Edition has been thoroughly updated with new content and realistic problems that allow students to apply what they have learned. This edition presents examples from diverse practice settings, including HMO, hospital, and long-term care pharmacies. A new chapter explains how decision analysis can be used to assist and inform decision-making. The significantly revised pricing chapter provides additional consideration to demand and the interaction of unit costs, volume, demand, and price. [detailed...]

ISBN: 0781762391
Book size: —; Page extent: 328.

 

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Madeline J. Daubert
Financial Management for Small and Medium-Sized Libraries

— y.
Publisher: —
Description: — [detailed...]

ISBN: 0838906184
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Reinhold Gruen
Financial Management in Health Services

2005 y.
Publisher: —
Description: — [detailed...]

ISBN: 0335218512
Book size: —; Page extent: 280.

 

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Xiaohu Wang
Financial Management in the Public Sector: Tools, Applications, And Cases

2006 y.
Publisher: —
Description: - [detailed...]

ISBN: 0765616777
Book size: —; Page extent: 194.

 

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Xiaohu Wang
Financial Management in the Public Sector: Tools, Applications, And Cases

2006 y.
Publisher: —
Description: - [detailed...]

ISBN: 0765616785
Book size: —; Page extent: 216.

 

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Adrian Randall, Paul Palmer
Financial Management in the Voluntary Sector: An Introduction

— y.
Publisher: —
Description: This work focuses on the distinctive aspects of financially managing the coluntary organization. While there are many similarities to the management of the private sector, in particular, financial management of small businesses, this book identitifies and explains the specialist aspects of charity finance. [detailed...]

ISBN: 0415221595
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William Zelman, Michael J. McCue, Alan R. Millikan, Noah D. Glick
Financial Management of Health Care Organizations: An Introduction to Fundamental Tools, Concepts, and Applications

— y.
Publisher: —
Description: — [detailed...]

ISBN: 063123098X
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J. David Cummins, Joan Lamm-Tennant
Financial Management of Life Insurance Companies (Huebner International Series on Risk, Insurance, and Economic Security)

— y.
Publisher: —
Description: — [detailed...]

ISBN: 0792393546
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J. Max Reiboldt
Financial Management of the Medical Practice

2002 y.
Publisher: American Medical Association Press
Description: This resource provides exercises in medical practice financial planning, as well as a step-by-step process for budgeting. Learn to implement guidelines to control cash and establish internal controls covering collections and fraud prevention. [detailed...]

ISBN: 1579472915
Book size: —; Page extent: 158.

 

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Patrick C. Gregory
Financial Management: A Practical Guide to Value Creation

2004 y.
Publisher: —
Description: Book DescriptionUnderstanding financial management is critical in today?s global marketplace. Financial Management: A Practical Guide to Value Creation is designed for general managers, senior functional managers, and business students interested in the practice of financial management. The book introduces innovative techniques in a practical, intuitive way, but assumes no prior knowledge beyond a rudimentary understanding of financial statements. Unlike most texts, which are conceptual in nature, Financial Management: A Practical Guide to Value Creation ties concepts to reality. In fact, the concepts covered in each chapter are applied to an actual company, which reinforces the reader?s understanding of the subject matter. Practical examples are also integrated to demonstrate how the financial tools and techniques can be used to improve the decision making process. Financial Management: A Practical Guide to Value Creation underscores the principles of financial… [detailed...]

ISBN: 0972148965
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Stephen Robert Foerster
Financial Management: A Primer

— y.
Publisher: —
Description: The perfect guide for the non-finance expert who needs to digest and react to financial data. Managers and investors operating in the post-dot-com, post-Enron, post-WorldCom business world cannot afford to remain fuzzy about the financial environmentin which their firms, or investments, exist. This clever book, by longtime M.B.A. teacher and consultant Stephen R. Foerster, eliminates the fuzziness. The goal of this short and simple text is to make arcane financial data and reports crystal clear for non-finance managers and executives. Covering industry analyses, annual reports, balance sheets, income statements, cash-flow assessments, long-term financing decisions, debt-equity decisions, time value of money calculations, and valuation measurements, this book contains invaluable, but often hard to find, information essential for the knowledgeable manager and investor. In addition, lengthy examples and exercises using actual financial data from Cola-Cola and Wal-Mart give the… [detailed...]

ISBN: 039370436X
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Jim McMenamin
Financial Management: An Introduction

— y.
Publisher: —
Description: This first year text looks at the subject of financial management from a UK academic point-of-view. Financial Managementis perfect for the non-finance student. [detailed...]

ISBN: 0415181615
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Paul G., Ph.D. Keat, F. John, Ph.D. Mathis
Financial Management: The Essentials for Professionals and Students (World Class Virtual M.B.A. Series)

— y.
Publisher: —
Description: Book buyers get a start on their MBA via mastering the authors` first rate lectures and the accompanying reading list, trying out the course at a special Web site on-line, then receiving a $250 scholarship toward their next MBA course when they are accepted into the Jones International University MBA program. JIU is a fully-accredited higher education institution and was the first such on-line university to receive normal accreditation from a standard U.S. college and university accrediting body. [detailed...]

ISBN: 0743479904
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Eugene F. Brigham, Michael C. Ehrhardt
Financial Management: Theory &, Practice (with Thomson ONE - Business School Edition 1-Year Printed Access Card)

2007 y.
Publisher: —
Description: - [detailed...]

ISBN: 0324422695
Book size: —; Page extent: 1071.

 

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Geoffrey Knott
Financial Management

— y.
Publisher: —
Description: Financial Management is the ideal course text for business and management undergraduates and MBA students taking an introductory module in Financial Management. The concise yet thorough style of the book makes it highly accessible for students coming to the subject for the first time. This thoroughly updated fourth edition contains many new and original features designed to reinforce student learning. The array of activities and questions integrated throughout each chapter encourage the student to engage with the subject. Learning objectives and summaries frame each chapter, guiding the student through the text. Complete with an answer section and suggestions for further reading. [detailed...]

ISBN: 1403903824
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Lewellen, Halloran, Lanser
Financial Management

— y.
Publisher: —
Description: — [detailed...]

ISBN: 0324101708
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David Blake
Financial Market Analysis

— y.
Publisher: —
Description: Financial Market Analysis provides an up-to-date and authoritative analysis of financial markets from within the framework of modern finance theory. The eagerly awaited second edition of this highly successful book has been greatly expanded from 400 to over 700 pages and contains new material on value at risk, speculative bubbles, volatility effects in financial markets, chaos and neural networks. Financial Market Analysis deals with the composition of financial markets and the analysis and valuation of traded securities. It describes the use of securities both in constructing and managing portfolios and in contributing to portfolio performance. Particular attention is paid to new types of investment product, different portfolio management strategies, speculation, arbitrage and risk management strategies and to financial market failure. Financial Market Analysis is an essential text for all finance-related degree courses at undergraduate, postgraduate, and MBA level. It also provides… [detailed...]

ISBN: 047187728X
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John L. Teall
Financial Market Analytics

— y.
Publisher: —
Description: A variety of quantitative concepts and models essential to understanding financial markets are introduced and explained in this broad overview of financial analytical tools. Coverage ranges from matrices and elementary calculus to stochastic processes, with applications to a wide range of financial topics. Practitioners, researchers, and advanced students of finance will find these tools invaluable. [detailed...]

ISBN: 1567201989
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Neil F. Johnson
Financial Market Complexity (Economics &, Finance)

2003 y.
Publisher: —
Description: Book DescriptionFinancial markets are a fascinating example of `complexity in action`: a real-world complex system whose evolution is dictated by the decisions of crowds of traders who are continually trying to win in a vast global `game`. This book draws on recent ideas from the highly- topical science of complexity and complex systems, to address the following questions: how do financial markets behave? Why do financial markets behave in the way that they do? What can we do to minimize risk, given thisbehavior? This books shows how these assumptions can give misleading answers to crucially important practical problems such as minimizing financial risk, coping with extreme events such as crashes or drawdowns, and pricing derivatives. After discussing the background to the concept of complexity and the structure of financial markets in Chapter 1, Chapter 2 examines the assumptions upon which standard finance theory is built. Reality sets in which Chapter 3, where data from two… [detailed...]

ISBN: 0198526652
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Cornelis A. Los
Financial Market Risk: Measurement &, Analysis (Routledge International Studies in Money and Banking)

— y.
Publisher: —
Description: This new book uses advanced signal processing technology to measure and analyze risk phenomena of the financial markets. It explains how to scientifically measure, analyze and manage non-stationarity and long-term time dependence (long memory) of financial market returns. It studies, in particular, financial crises in persistent financial markets, such as stock, bond and real estate market, and turbulence in anti?persistent financial markets, such as anchor currency markets. It uses Windowed Fourierand Wavelet Multiresolution Analysis to measure the degrees of persistence of these complex markets, by computing monofractal Hurst exponents and multifractal singularity spectra. It explains how and why financial crises and financial turbulence may occur in the various markets and why we may have to reconsider the current wave of term structure modeling based on affine models. It also uses these persistence measurements to improve the financial risk management of global investment… [detailed...]

ISBN: 041527866X
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Federal Reserve Bank of Kansas City
Financial Market Volatility and the Economy

— y.
Publisher: —
Description: During the 1980s, policymakers and financial market participants became increasingly concerned about the volatility of financial markets. Greater volatility in the stock, bond, and foreign exchange markets raised important public policy issues about thestability of financial markets and the impact of volatility on the economy. At the same time, savers, investors, and other participants in financial markets adopted more sophisticated ways of hedging risks caused by greater volatility. This collection of articles chosen from the pages of the Economic Review of the Federal Reserve Bank of Kansas City documents the increase in market volatility and explores its impact on the economy and the behavior of financial market participants. [detailed...]

ISBN: 0894991183
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Frederic S. Mishkin
Financial Markets + Institutions (The Addison-Wesley Series in Finance)

2004 y.
Publisher: —
Description: — [detailed...]

ISBN: 0321285492
Book size: —; Page extent: —.

 

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Mario Baldassarri, Michele Bagella, Luigi Paganetto
Financial Markets : Imperfect Information and Risk Management (Central Issues in Contemporary Economic Theory and Policy)

— y.
Publisher: —
Description: This book concentrates on one of the most important directions for research on banking and finance for the next decade: the problem of information and risk management. Recent theoretical and empirical contributions consider asymmetric information between investors and financiers as a major determinant of financial risk. In this framwork, financial and banking innovation may be regarded as policy and individual agents` response to the problem of asymmetric information and risk management and also as a self-generated innovation process posing new challenges to policymakers in terms of informational efficiency and risk control. [detailed...]

ISBN: 0333802047
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Tan Chwee Huat
Financial Markets And Institutions in Singapore

2005 y.
Publisher: —
Description: This book discusses the operations of various types of financial institutions operating in Singapore. These include the full-license, restricted-license and offshore banks, merchant banks, money broking firms, finance companies, insurance and reinsurance companies. The author analyzes the activities in the financial markets which comprise the capital market, the money market, the Asian Dollar Market, the Asian Bond Market, the stock market, the financial futures market, the gold market and the foreign exchange market. The roles of the Monetary Authority of Singapore, the DBS Bank, the POS Bank, the Central Provident Fund and other government institutions are examined and the latest developments in the financial futures market, Singapore Commodities Market (SICOM), Simex, SESDAQ and the Central Provident Fund are also included. The tenth edition includes financial reforms in Singapore and the latest liberalization plan for the banking industry. [detailed...]

ISBN: 9971693143
Book size: —; Page extent: 400.

 

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Financial Markets And the Real Economy (The International Library of Critical Writings in Financial Economics)

2006 y.
Publisher: —
Description: This insightful collection examines the intersection between macroeconomics and finance. The key challenge in this area is to find the right measure of `bad times` (the marginal value of wealth) to explain some assets` high average returns or low prices as compensation for those assets` tendency to pay off poorly in bad times. [detailed...]

ISBN: 1843761920
Book size: —; Page extent: 646.

 

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E. Barucci
Financial Markets Theory: Equilibrium, Efficiency, and Information (Springer Finance)

— y.
Publisher: —
Description: Financial Markets Theory presents classical asset pricing theory, a theory composed of milestones such as portfolio selection, risk aversion, fundamental asset pricing theorem, portfolio frontier, CAPM, CCAPM, APT, the Modigliani-Miller Theorem, no arbitrage/risk neutral evaluation and information in financial markets. Starting from an analysis of the empirical tests of the above theories, the author provides a discussion of the most recent literature, pointing out the main advancements within classical asset pricing theory and the new approaches designed to address open problems (e.g. behavioural finance). It is the only textbook to address the economic foundations of financial markets theory from a mathematically rigorous standpoint, and to offer a self-contained critical discussion, based on empirical results. Financial Markets Theory is an advanced book, well-suited for a first graduate course in financial markets, economics or financial mathematics. It is self-contained and… [detailed...]

ISBN: 185233469X
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Pierre Lequeux
Financial Markets Tick By Tick

— y.
Publisher: —
Description: Tick by Tick is an in-depth and unique collection of analyses of the behaviour of the financial markets at the micro level. Its publication is particularly timely, given the current period of high volatility in the financial markets. LIFFE are proud to be associated with a text which features so many leading quantitative analysts, risk managers, academics and experts in this highly specialized field.` Brian Williamson Executive Chairman, LIFFE The editor has brought together some of the acknowledged experts in the field to contribute on a subject of great timeliness across the finance sector. One could go as far as to say we are experiencing a renaissance in terms of how market players work on a day-to-day basis due to the high intra-day volatility of financial markets and the greater emphasis put on risk management. This book will provide essential reading matter for all those using high frequency data, in both the practitioner and academic markets alike. [detailed...]

ISBN: 0471981605
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Paolo Roberti
Financial Markets and Capital Income Taxation in a Global Economy

— y.
Publisher: —
Description: Hardbound. The book describes the developments and the evidence, the problems and the interrelationships among problems, the outlook, and the intricate balance between the national and the international dimensions of the policy issues faced by tax administrations in OECD countries in the field of financial markets and capital income taxation in the wake of profound technological change and market globalization. The book provides a broad perspective of the problems, comparing thoughts on how the problems may be best dealt with, and using lessons from experience with theoretical and policy developments in a number of countries including the EU, North America and Australia. The book focuses on the following topics: • falling barriers, increased capital mobility, and the challenges of capital market globalization • the implications, for capital income taxation, of technological innovation and new financial products • tax distortion [detailed...]

ISBN: 0444822062
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