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Serie: The wiley finance series
gebondenEngels4 blz.9781119327523
1e druk
11-11-2016
'The Destructive Power of Family Wealth' offers thoughtful, holistic planning to ensure that your wealth remains a positive force for your family. Meer
gebondenEngels180 blz.9781119226987
1e druk
26-8-2016
'FinTech Innovation' examines the rise of financial technology and its growing impact on the global banking industry. Meer
gebondenEngels224 blz.9781119011620
24-4-2015
A unique, in–depth guide to options pricing and valuing their greeks, along with a four dimensional approach towards the impact of changing market circumstances on options
How to Calculate Options Prices and Their Greeks is the only book of its kind, showing you how to value options and the greeks according to the Black Scholes model but also how to do this without consulting a model. Meer
gebondenEngels792 blz.9781118817971
2e druk
13-2-2015
The derivative practitioner s expert guide to IFRS 9 application
Accounting for Derivatives explains the likely accounting implications of a proposed transaction on derivatives strategy, in alignment with the IFRS 9 standards. Meer
gebondenEngels336 blz.9781119962656
17-2-2012
This book is the definitive guide to cash flow statement analysis and forecasting. It takes the reader from an introduction about how cash flows move within a business, through to a detailed review of the contents of a cash flow statement. Meer
gebondenEngels680 blz.9781119989974
2e druk
16-12-2011
Your business reputation can take years to build and mere minutes to destroy
The range of business threats is evolving rapidly but your organization can thrive and gain a competitive advantage with your business vision for enterprise risk management. Meer
gebondenEngels178 blz.9780470870440
1e druk
7-10-2005
Firm valuation is currently a very exciting topic. It is interesting for those economists engaged in either practice or theory, particularly for those in finance. Meer
gebondenEngels294 blz.9780470669433
25-3-2011
Financial Risk Forecasting is a complete introduction to practical quantitative risk management, with a focus on market risk. Meer
GebondenEngels9780471497417
26-2-2002
A guide which uses a problem solving approach and shows how to implement Monte Carlo methods, starting from first principles to advanced techniques. Meer
GebondenEngels9780470060698
25-9-2009
GebondenEngels9780470724255
7-12-2007
GebondenEngels9780470870617
27-8-2004
Covers various aspects of C# relevant to practitioners working in financial sector. This work contains a practical workshop which builds on the material given, and guides you through all the stages of building a multiple model options calculator. Meer
GebondenEngels9780471497882
28-1-2002
Explains how government bond markets work, as well as the features and specifications of each type. This book looks at the structure and technique of bond markets in each European Union country, as well as the financial instruments issued by each treasury agency. Meer
GebondenEngels9780470012185
27-1-2005
GebondenEngels9781394159604
6-6-2024
GebondenEngels9781394220090
22-8-2024