Udvidet returret til d. 31. januar 2025

Bøger i Wiley Finance serien

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  • af Jeffrey R. Bohn
    782,95 kr.

    State-of-the-art techniques and tools needed to facilitate effective credit portfolio management and robust quantitative credit analysis Filled with in-depth insights and expert advice, Active Credit Portfolio Management in Practice serves as a comprehensive introduction to both the theory and real-world practice of credit portfolio management.

  • - Quantitative and Qualitative Performance Measures
    af E. J. Stavetski
    643,95 kr.

    More and more institutional funds and high net worth assets are finding their way to hedge funds. This book provides the quantitative and qualitative measures and analysis that investment managers, investment advisors, and fund of fund managers need to allocate and monitor their client assets properly.

  • - A Risk Management Approach to Energy Purchase and Efficiency Choices
    af J. Jackson
    643,95 kr.

    * Written by respected energy economist Dr. Jerry Jackson, Energy Budgets at Risk (EBaR) explains why high energy prices and market volatility can be expected to continue, and shows how to reduce energy costs and increase cash flows using risk management concepts developed in the financial industry.

  • - A Comprehensive Approach
    af S. P. Peca
    792,95 kr.

    This book provides a systematic and practical analysis of the various phases of the real estate development process. Taking a comprehensive approach, it covers the necessary topics of financing, accounting and construction in addition to several often-overlooked (but equally important) aspects of real estate development.

  • - A Roadmap to Portfolio Diversification
    af Daniel A. Strachman
    939,95 kr.

    * A User's Guide to Funds of Funds Investing provides the tools investors need to understand and evaluate their investments in this often misunderstood and opaque area of the investment community.

  • - Methods for Analyzing Resource Market Behavior
    af Peter V. Schaeffer
    880,95 kr.

    Commodity Modelling and Pricing provides extensions and applications of state-of-the-art methods for analyzing resource commodity behaviour. Applications of these methods cover the modelling of the dynamic behaviour of resource markets and their prices as well as their interaction with the environment.

  • - The Critical Nuts and Bolts
    af Stuart A. (Chicago Partners LLC) McCrary
    469,95 kr.

    A guide to financial accounting. It explains the key features of modern accounting and helps you develop an understanding of accounting. It presents important accounting concepts, from inventory valuation methods and the timing of erosion of productive assets to how internal managers calculate ratios and trends to evaluate business efficiency.

  • - Meeting the Noble Challenges of Funding Pensions, Deficits, and Growth
     
    1.091,95 kr.

    Timely insights on investment management This comprehensive guide will help investment managers, fiduciaries, trustees, and regulators face the difficult challenge of funding the retirements of millions of workers and meeting the capital formation needs of businesses at once.

  • - A Systems Mindset for Building and Investing in Businesses for the Long Term
    af Bartley J. Madden
    569,95 kr.

    * A stockvaluation book by one of the leading market practitioners in thefield who created the company life-cycle framework for valuationknown as CFROI.

  • af Janice M. (Cherry Hills Village Roehl-Anderson
    680,95 kr.

    As part of Deloitte Consulting, one of the largest mergers and acquisitions (M&A) consulting practice in the world, this title reveals in M&A Information Technology Best Practices how companies can effectively and efficiently address the IT aspects of mergers, acquisitions, and divestitures.

  • - Price Risk Management and Trading
    af Tom James
    1.363,95 kr.

    Price Risk Management and Trading. Energy risk management expert, Tom James, does it again. His latest book is a timely addition to the rapidly developing energy trading markets. This book should be on every energy trader, risk manager and corporate planer's desk.

  • - Tools to Analyze and Manage Your Stock Portfolio + Online Video Course
    af Robert A. Weigand
    1.236,95 kr.

    From asset allocation to selecting investments in a global market, Applied Equity Analysis and Portfolio Management offers readers a solid foundation in the field of finance and presents the same tools used extensively by professionals, organizations, and academic institutions.

  • - Recent Developments from Asia and the Middle East
    af Imam Wahyudi
    645,95 kr.

    Gain insight into the unique risk management challenges within the Islamic banking system Risk Management for Islamic Banks: Recent Developments from Asia and the Middle East analyzes risk management strategies in Islamic banking, presented from the perspectives of different banking institutions.

  • af Michael B. Miller
    832,95 kr.

    Mathematics and Statistics for Financial Risk Management is a practical guide to modern financial risk management for both practitioners and academics.

  • - A Value Investor's Guide to the Biggest Untapped Opportunity in the World + Website
    af Rahul Saraogi
    544,95 kr.

    India?s expanding economy peaks investor interest worldwide, but many investors are wary of the country?s fluctuating markets. Investing in India casts the country as an up-and-coming investment opportunity that requires a thorough understanding of Indian government, politics, and media.

  • - The Psychology of Financial Planning and Investing
    af H. Kent (American University) Baker
    1.091,95 kr.

    WINNER, Business: Personal Finance/Investing, 2015 USA Best Book Awards FINALIST, Business: Reference, 2015 USA Best Book Awards Investor Behavior provides readers with a comprehensive understanding and the latest research in the area of behavioral finance and investor decision making.

  • - How to Profit in Any Economic Climate
    af Alex Shahidi
    514,95 kr.

    The conventional portfolio is prone to frequent and potentially devastating losses because it is NOT balanced to different economic outcomes. In contrast, a truly balanced portfolio can help investors reduce risk and more reliably achieve their objectives. This simple fact would surprise most investors, from beginners to professionals.

  • - Insurance Planning for High Net Worth Individuals and Their Advisors
    af Brian G. Flood
    469,95 kr.

    An indispensable survival guide for high-net-worth individuals and their advisors If you're like most high-net-worth individuals nowadays, you are underinsured, over-targeted in litigation, and dangerously exposed to risks that can profoundly jeopardize your lifestyle and rob you and your family of what they've worked so hard to achieve.

  • - Applications and Examples + Website
    af Shannon P. (Willamette Management Associates Pratt
    2.035,95 kr.

    A one-stop shop for background and current thinking on the development and uses of rates of return on capital Completely revised for this highly anticipated fifth edition, Cost of Capital contains expanded materials on estimating the basic building blocks of the cost of equity capital, the risk-free rate, and equity risk premium.

  • - The Transformation of Financial Services
    af E. Denby Brandon
    588,95 kr.

    The first book to provide a comprehensive history of the financial planning profession Backed by the Financial Planning Association, The History of Financial Planning offers a clear overview of the industry and how it has changed over the years.

  • - Volatility and Correlation
    af Sebastien Bossu
    1.351,95 kr.

    In Advanced Equity Derivatives: Volatility and Correlation, Sebastien Bossu reviews and explains the advanced concepts used for pricing and hedging equity exotic derivatives.

  • - Managing Capital and Liquidity Requirements Under Basel III
    af Simon Archer
    1.177,95 kr.

    Ensure Basel III compliance with expert analysis specific to Islamic Finance Islamic Capital Markets and Products provides a thorough examination of Islamic capital markets (ICM), with particular attention to the products that they offer and the legal and regulatory infrastructure within which they operate.

  • - Venture Deals, Crowdfunding, Private Equity, and Technology + Website
    af Charles H. Green
    557,95 kr.

    Detailed, actionable guidance for expanding your revenue in the face of a new virtual market Written by industry authority Charles H.

  • - Managing Wealth for the "New Normal"
    af Richard C. Marston
    375,95 kr.

    Investing for a Lifetime is designed to make saving and investing understandable to the investor. Wharton Professor Richard C. Marston, 2014 recipient of the Investment Management Consultants Association s prestigious Matthew R. McArthur Award, guides an investor through the main investment decisions throughout a lifetime.

  • - Why Activist Investors and Other Contrarians Battle for Control of Losing Corporations
    af Tobias E. Carlisle
    765,95 kr.

    The economic climate is ripe for another golden age of shareholder activism. This book offers an exploration of deep value investment strategy, describing the evolution of the theories of valuation and shareholder activism from Graham to Icahn and beyond.

  • - Techniques to Drive Profitability of Hedge Funds and Trading Desks
    af Davis Edwards
    798,95 kr.

    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 techniques and strategies seasoned traders use when making decisions.

  • - The Quest for Financial Stability
    af Georges Ugeux
    674,95 kr.

    As the global market expands, the need for international regulation becomes urgent Since World War II, financial crises have been the result of macroeconomic instability until the fatidic week end of September 15 2008, when Lehman Brothers filed for bankruptcy.

  • - Building an Enduring Business + Website
    af David Grau
    393,95 kr.

    This book is going to challenge you and everything you think you know about succession planning.

  • - Applied Best Practices in Risk Management
    af Clifford Rossi
    927,95 kr.

    Balanced, practical risk management for post financial crisis institutions Fundamentals of Risk Management fills a critical gap left by existing risk management texts. Instead of focusing only on quantitative risk analysis or only on institutional risk management, this book takes a comprehensive approach.

  • - The Theory Behind the Formulas + Website
    af Donald J. (Boston University) Smith
    986,95 kr.

    A bond calculation quick reference, complete with context and application insights Bond Math is a quick and easy resource that puts the intricacies of bond calculations into a clear and logical order. This simple, readable guide provides a handy reference, teaching the reader how to think about the essentials of bond math.

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