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Mark Grinblatt, Sheridan Titman
Financial Markets and Corporate Strategy Solutions Manual

2002 y.
Publisher: McGraw-Hill Irwin
Description: The authors began writing the First Edition of this textbook in early 1988. It took almost 10 years to complete this effort, because they did not want to write an ordinary textbook. Their goal was to write a book that would break new ground in both the understanding and explanation of finance and its practice. They wanted to write a book that would influence the way people think about, teach, and practice finance. A book that would elevate the level of discussion and analysis in the classroom, in the corporate boardroom, and in the conference rooms of Wall Street firms. They wanted a book that would sit on the shelves of financial executives as a useful reference manual, long after the executives had studied and received a degree. They were successful in their endeavor. The success of the first edition of Financial Markets and Corporate Strategy was very heartening. The market for this text has expanded every year, and it is well-known as the cutting edge textbook in corporate finance… [detailed...]

ISBN: 0072294345
Book size: —; Page extent: 136.

 

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David Hillier, Mark Grinblatt, Sheridan Titman
Financial Markets and Corporate Strategy

2008 y.
Publisher: —
Description: The authors began writing the First Edition of this textbook in early 1988. It took almost 10 years to complete this effort, because they did not want to write an ordinary textbook. Their goal was to write a book that would break new ground in both the understanding and explanation of finance and its practice. They wanted to write a book that would influence the way people think about, teach, and practice finance. A book that would elevate the level of discussion and analysis in the classroom, in the corporate boardroom, and in the conference rooms of Wall Street firms. They wanted a book that would sit on the shelves of financial executives as a useful reference manual, long after the executives had studied and received a degree. They were successful in their endeavor. The success of the first edition of Financial Markets and Corporate Strategy was very heartening. The market for this text has expanded every year, and it is well-known as the cutting edge textbook in corporate… [detailed...]

ISBN: 0077119029
Book size: —; Page extent: 864.

 

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Alison Harwood, Robert E. Litan, Michael Pomerleano
Financial Markets and Development: The Crisis in Emerging Markets

— y.
Publisher: —
Description: This volume brings together market practitioners, policymakers, development specialists, and academics from developed and emerging market countries to examine the underlying causes of the Asian financial crisis and ways of preventing future crises in emerging markets. Contents include: `The Asian Crisis: Causes and Consequences` by Richard Cooper, Harvard University `A Closer Look at Equity Flows to Emerging Markets` by Michael Barth, Capital Markets Development Department, The World Bank, and Konstantinos Tsatsaronis, Monetary and Economic Department, Bank for International Settlements `Corporate Governance and the Treatment of Minority Shareholders,` by Kenneth Scott, Stanford Law School `Foreign Investment in Asia` by Jarrod Wilcox, PanAgora Asset Management `The Future of Emerging Markets Investing` by Michael Adler, Columbia Graduate School of Business `Lessons of the Asian Crisis for Latin America` by Sebastian Edwards, University of California at Los Angeles `Global… [detailed...]

ISBN: 0815734972
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Hung-Gay Fung, Kevin H. Zhang
Financial Markets and Foreign Direct Investment in Greater China

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

ISBN: 0765608049
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Frederic S. Mishkin, Stanley G. Eakins
Financial Markets and Institutions (6th Edition)

2008 y.
Publisher: —
Description: - [detailed...]

ISBN: 0321374215
Book size: —; Page extent: 752.

 

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Anthony Saunders
Financial Markets and Institutions + Enron PowerWeb + Standard &, Poor`s Educational Version of Market Insight

2003 y.
Publisher: —
Description: Book DescriptionAccessible, thoroughly up to date, and pedagogically rich, Saunders and Cornett`s Financial Markets and Institutions 2/e fits perfectly into the newest segment of the markets and institutions course area. Beginning with ten chapters on markets, the student is able to create a solid microeconomics focus while still building on the risk management/risk measurement framework. International coverage has been provided throughout the text and exceptional illustrations and examples make even themost difficult concepts, like derivatives, easy to learn. [detailed...]

ISBN: 0072866837
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Tan Chwee Huat
Financial Markets and Institutions in Singapore: Tenth Edition

— 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 reinsurancecompanies. 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: 9971692295
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Jeff Madura
Financial Markets and Institutions, Abridged Edition (with Stock Coupon)

2008 y.
Publisher: —
Description: This text describes financial markets and institutions by providing a conceptual framework to understand why markets exist and what their role is in the financial environment. Each type of financial market is described with a focus on its utilization by financial institutions, its internationalization, and recent events that have affected it. Each type of financial institution is described with a focus on its regulatory aspects, management, use of financial markets, and performance. This edition continues its strong tradition of emphasizing timely examples and practical applications, including Internet materials, and offers a unique tie into Internet resources. [detailed...]

ISBN: 0324593643
Book size: —; Page extent: 742.

 

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Anthony Saunders
Financial Markets and Institutions: A Modern Perspective, Second Edition

2003 y.
Publisher: —
Description: Book DescriptionAccessible, thoroughly up to date, and pedagogically rich, Saunders and Cornett`s Financial Markets and Institutions 2/e fits perfectly into the newest segment of the markets and institutions course area. Beginning with ten chapters on markets, the student is able to create a solid microeconomics focus while still building on the risk management/risk measurement framework. International coverage has been provided throughout the text and exceptional illustrations and examples make even themost difficult concepts, like derivatives, easy to learn. [detailed...]

ISBN: 007294109X
Book size: —; Page extent: —.

 

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Peter Howells, Keith Bain
Financial Markets and Institutions

2007 y.
Publisher: Financial Times Prentice Hall
Description: With its clear and accessible style, `Financial Markets and Institutions` will help students make sense of the financial activity that is so widely and prominently reported in the media. Looking at the subject from the economist`s perspective, the book takes a practical, applied approach and theory is covered only where absolutely necessary in order to help students understand events as they happen in the real world. This fifth edition has been thoroughly updated to reflect the changes that have occurred in the financial system in recent years. Формат издания: 19 см х 24,5 см. [detailed...]

ISBN: 978-0-273-70919-0
Book size: —; Page extent: 448.

 

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Nicolas Bouleau, Alan Thomas
Financial Markets and Martingales: Observations on Science and Speculation

— y.
Publisher: —
Description: Is it really possible to make money on the financial markets? This is just one of the questions posed in this practical and thought-provoking book, winner, in the original French version, of the `Best financial economics book` prize 1999 from the Institute de Haute Finance, and the `Prix FNAC-Arthur Anderson du meilleur livre d`entreprise 2000`. Starting with games of chance, from which probability theory was born, Nicolas Bouleau explains how the financial markets operate, and demonstrates how the application of mathematics has turned finance into a high-tech business, as well as a formidable and efficient tool. The human side of finance is also considered, with a look at the influence of the trader and the working relationships that are woven into the market rooms. Concise and accessible, with no previous knowledge of finance or mathematics required, the aim of this book is simply to articulate the main ideas and put them into perspective, leading readers to a fresh understanding of… [detailed...]

ISBN: 1852335823
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Jeffrey A. Frankel
Financial Markets and Monetary Policy

— y.
Publisher: —
Description: The decade of the 1980s left many central bankers disillusioned with monetarism, so that the question of the optimal nominal anchor remains an open one. In this second collection of his writings on financial markets (the first, On Exchange Rates, covered international finance), Jeffrey Frankel turns his attention to domestic markets, with special attention to how national monetary policy is handled. The fifteen papers are divided into three sections, each introduced by the author. They cover, respectively, optimal portfolio diversification, indicators of expected inflation, and the determination of monetary policy in the face of uncertainty. In the first section, Frankel explores what information the theory of optimal portfolio diversification can give the macroeconomist. In the second section, he considers what economic variables central bankers might use to gauge whether monetary policy is too tight or too loose. And in the final section, he looks at the range of… [detailed...]

ISBN: 0262061740
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Gordon De Brouwer
Financial Markets and Policies in East Asia (Routledge Studies in Growth Economies of Asia)

— y.
Publisher: —
Description: While the financial crisis in East Asia could be said to be on the wane in some countries, the reconstruction process in the aftermath and the debate about the financial policies best suited to the region still rages on. This book examines both of these processes in authoritative detail. It includes critical assessment of: * the post-crisis state of financial markets * the banking and corporate restructuring process, with special focus on Indonesia * the policy debates currently going on in East Asia, including monetary policy, exchange rate systems and the scope for financial cooperation * East Asia`s debt and equity markets The well-respected contributors including Claudio Borio, Hae Wang Chung, Guy Debelle, Reuven Glick, Robert McCauley and Eisuke Sakakibara, have produced a book that will be influential around the world. [detailed...]

ISBN: 0415273889
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David Brighouse, Janet Hontoir
Financial Markets and Risk

2008 y.
Publisher: —
Description: This book will give those who are working in financial services an overview of the risk element in their industry. It explains the interactions between financial institutions, the products they provide and the markets in which they deal, and then looks at the economic environment in which the industry plays such a vital role. In each case, it focuses on the risks faced by all financial providers and shows how these can be successfully managed. [detailed...]

ISBN: 1906403163
Book size: —; Page extent: 342.

 

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Robert Hashemian
Financial Markets for the Rest of Us: An Easy Guide to Money, Bonds, Futures, Stocks, Options, and Mutual Funds

— y.
Publisher: —
Description: `Financial Markets For The Rest Of Us` is a reference and tutorial covering various financial markets in the USA and the rest of the world. The book comprises five major chapters covering the concepts of money, bonds, futures, stocks, and options. It cleverly illustrates the operation and interdependencies of these various markets, while keeping the language simple for everyone to follow. Numerous examples and references help the reader grasp the concepts with ease and stay interested. Beginner and intermediate-level investors will find this book an indispensable tool to learn about the financial markets and sharpen their financial knowledge and skills. This book is also an excellent financial markets reference for everyone. If you have ever wondered about how the financial markets operate, or you have ever felt overwhelmed by the complexities of the financial markets, this book is for you. [detailed...]

ISBN: 0595202756
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Rose-Anne Dana
Financial Markets in Continuous Time

2003 y.
Publisher: —
Description: Book DescriptionIn modern financial practice, asset prices are modelled by means of stochastic processes, and continuous-time stochastic calculus thus plays a central role in financial modelling. This approach has its roots in the foundational work of the Nobel laureates Black, Scholes and Merton. Asset prices are further assumed to be rationalizable, that is, determined by equality of demand and supply on some market. This approach has its roots in the foundational work on General Equilibrium of the Nobel laureates Arrow and Debreu and in the work of McKenzie. This book has four parts. The first brings together a number of results from discrete-time models. The second develops stochastic continuous-time models for the valuation of financial assets (the Black-Scholes formula and its extensions), for optimal portfolio and consumption choice, and for obtaining the yield curve and pricing interest rate products. The third part recalls some concepts and results of general equilibrium… [detailed...]

ISBN: 3540434038
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Loren B. Mead
Financial Meltdown in the Mainline? (The Money, Faith and Lifestyle)

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

ISBN: 1566991978
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Emily S. Rosenberg
Financial Missionaries to the World: The Politics and Culture of Dollar Diplomacy, 1900-1930

— y.
Publisher: —
Description: Winner of the Society for Historians of American Foreign Relations Robert H. Ferrell Book Prize Financial Missionaries to the World establishes the broad scope and significance of `dollar diplomacy`?the use of international lending and advising?to early-twentieth-century U.S. foreign policy. Combining diplomatic, economic, and cultural history, distinguished historian Emily S. Rosenberg shows how private bank loans were extended to leverage acceptance of American financial advisers by foreign governments. In an analysis striking in its relevance to contemporary debates over international loans, she reveals how a practice initially justified as a progressive means to extend `civilization` by promoting economic stability and progress became embroiled in controversy. Vocal critics at home and abroad charged that American loans and financial oversight constituted a new imperialism that fostered exploitation of less powerful nations. By the mid-1920s, she explains, even early… [detailed...]

ISBN: 0674000595
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Simon Benninga
Financial Modeling, 3rd Edition

2008 y.
Publisher: The MIT Press
Description: Too often, finance courses stop short of making a connection between textbook finance and the problems of real-world business. Financial Modeling bridges this gap between theory and practice by providing a nuts-and-bolts guide to solving common financial models with spreadsheets. Simon Benninga takes the reader step by step through each model, showing how it can be solved using Microsoft Excel. The long-awaited third edition of this standard text maintains the `cookbook` features and Excel dependence that have made the first and second editions so popular. It also offers significant new material, with new chapters covering such topics as bank valuation, the Black-Litterman approach to portfolio optimization, Monte Carlo methods and their applications to option pricing, and using array functions and formulas. Other chapters, including those on basic financial calculations, portfolio models, calculating the variance-covariance matrix, and generating random numbers,… [detailed...]

ISBN: 0262026287
Book size: —; Page extent: 1168.

 

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Rama Cont
Financial Modelling with Jump Processes

2003 y.
Publisher: —
Description: Book DescriptionDuring the last decade, financial models based on jump processes have acquired increasing popularity in risk management and option pricing. Much has been published on the subject, but the technical nature of most papers makes them difficult for nonspecialists to understand, and the mathematical tools required for applications can be intimidating. Potential users often get the impression that jump and Levy processes are beyond their reach.Financial Modelling with Jump Processes shows that this is not so. It provides a self-contained overview of the theoretical, numerical, and empirical aspects involved in using jump processes in financial modelling, and does so in terms within the grasp of nonspecialists. The introduction of new mathematical tools is motivated by its use in the modelling process, and precise mathematical statements of results are accompanied by intuitive explanations. Topics covered in this book include: jump-diffusion models, Levy processes,… [detailed...]

ISBN: 1584884134
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Wayne L. Winston, Wayne Winston
Financial Models Using Simulation and Optimization II: Investment

— y.
Publisher: —
Description: First published in 1998, Financial Models Using Simulation and Optimization quickly became one of the most widely used references for the application of simulation and optimization techniques to financial problems. Now, author Wayne Winston has done it again with a totally new volume! Financial Models II is packed with real-life examples that demonstrate how @RISK, Evolver and Excel can be used to make better financial decisions. Winston`s straightforward, step-by-step approach makes his innovative techniques accessible to anyone who uses Microsoft Excel. Topics covered include: o Modeling future stock prices and hedging stock price and interest rate risk. Examples include Value At Risk (VAR), incorporating analyst forecasts, correlating stock forecasts, and bootstrapping. o Portfolio optimization, including minimizing a portfolio`s risk, finding the Efficiency Frontier, minimizing the probability of loss, and maximizing the Sharpe Ratio. o Valuing a firm or a… [detailed...]

ISBN: 1893281043
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Wayne L. Winston
Financial Models Using Simulation and Optimization: A Step-By-Step Guide With Excel and Palisade`s Decisiontools Software

— y.
Publisher: —
Description: Financial Models Using Simulation and Optimization offers the most in-depth treatment to date of the use of decision-support software to address financial models in business problems. It is intended for anyone who builds or reviews financial models and for anyone who wants to learn more about decision-support software. Step-by-step instructions take the reader through over 60 examples. Topics covered include options pricing, portfolio optimization, acquisitions modeling, VAR, hedging with futures, risk-neutral approach, and more. [detailed...]

ISBN: 1893281035
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J. David Cummins, Richard A. Derrig
Financial Models of Insurance Solvency (Communications and Information Theory)

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

ISBN: 0792390180
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Robert A. Eisenbeis, Frederick Thomas Furlong, Simon Kwan, Simon H. Kwan
Financial Modernization and Regulation

— y.
Publisher: —
Description: Financial systems around the world are undergoing a process of modernization due to many different forces. Advances in information technology, product and market innovations, and recent regional financial crises have contributed to this movement. As a result, evolution in the financial sector is leading to larger, more complex financial organizations that render inadequate the supervisory and regulatory structures currently in place. While some changes in regulatory policies have already occurred, the adaptation of supervisory oversight and regulation in the face of these new developments is expected to continue for many years to come. This book collects papers originally presented in September 1998 at the Financial Modernization and Regulation Conference co-sponsored by the Federal Reserve Banks of Atlanta and San Francisco. Revised before publication, the papers seek to identify the reasons for changes in the financial services sector, and the implications these changes pose for… [detailed...]

ISBN: 0792377532
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Stavros A. Zenios
Financial Optimization

— y.
Publisher: —
Description: The use of mathematical models in financial management is today common business practice. The state of the art is constantly being advanced by academia and refined by industry. This book achieves two objectives. First, it brings together the (apparently)diverse fields of finance and management science/operations research. It presents a variety of techniques used in complex problems for financial management: optimization, simulation, stochastic programming and supercomputing. Second, it links current industrial practices with academic research to a degree unparalleled by any previous publication in the field. [detailed...]

ISBN: 0521577772
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Dave Ramsey
Financial Peace Jr.: Teaching Kids about Money! with Other

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

ISBN: 0963571222
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Dave Ramsey
Financial Peace Personal Finance Software

2003 y.
Publisher: —
Description: — [detailed...]

ISBN: 0963571249
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Dave Ramsey, Sharon Ramsey
Financial Peace: Revisited

— y.
Publisher: —
Description: Dave Ramsey knows what it`s like to have it all. By age twenty-six, he had established a four-million-dollar real estate portfolio, only to lose it by age thirty. He has since rebuilt his financial life and, through his workshops and his New York Times business bestsellers Financial Peace and More than Enough , he has helped hundreds of thousands of people to understand the forces behind their financial distress and how to set things right-financially, emotionally, and spiritually. In this new edition of Financial Peace , Ramsey has updated his tactics and philosophy to show even more readers: * how to get out of debt and stay out * the KISS rule of investing-`Keep It Simple, Stupid` * how to use the principle of contentment to guide financial decision making * how the flow of money can revolutionize relationships With practical and easy to follow methods and personal anecdotes, Financial Peace is the road map to… [detailed...]

ISBN: 0670032085
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Jeffrey H. Rattiner
Financial Planning Answer Book (2008) (Answer Book)

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

ISBN: 0808091409
Book size: —; Page extent: 550.

 

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Kaplan Financial
Financial Planning Process Course

2008 y.
Publisher: —
Description: - [detailed...]

ISBN: 1427762562
Book size: —; Page extent: 368.

 

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Richard H. Mayer, Donald R. Levy
Financial Planning for High Net Worth Individuals

— y.
Publisher: —
Description: A comprehensive and authoritative guide by expert advisers to the art and science of wealth management. [detailed...]

ISBN: 1587982323
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