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Die stetig zunehmende Komplexität und Dynamik des finanzwirtschaftlichen Risikomanagements erfordern die Entwicklung konsistenter übergeordneter Bilanzierungsgrundsätze für Sicherungsbeziehungen. Zu diesem Zweck unterzieht Matthias Backes die...
Editeur :
Springer Gabler
Parution :
2019-09-20
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Der Devisenmarkt ist der gro¨ßte Finanzmarkt der Welt mit 5 Billionen US Dollar Handelsvolumen pro Tag. Neben den klassischen Währungen werden heute auch die Kryptowa¨hrungen im Forex (Foreign Exchange Market) gehandelt. Alles geschieht elektronisch und in einen...
Editeur :
Springer Gabler
Parution :
2019-09-05
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PRAISE FOR Banking on Change "In this 140th Anniversary celebration book, The London Institute of Banking and Finance stick to their core function of educating us all, but especially aspirant bankers, on the role and concerns of (retail and commercial) banking in the...
Editeur :
Wiley
Parution :
2019-09-02
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An indispensable resource for anyone wishing to understand and successfully invest in the Nikkei. Recent years have seen steady growth in investor interest in the Japanese equity market, the second largest in the world. Japanese Equities describes how the Nikkei works,...
Editeur :
Wiley
Parution :
2019-08-27
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With contributions presented during the Second International Risk Management Conference, this second volume addresses important areas of risk management from a variety of angles and perspectives. The book will cover two separate tracks—financial risk management and risk...
Editeur :
Palgrave Macmillan
Parution :
2019-05-23
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Das Ergebnis von unseren Entscheidungen, die zu unserem Verhalten und Handeln führen, hängt nicht nur von uns ab, sondern auch von den Entscheidungen – Handeln und Verhalten – unseres sozialen Umfelds: Ein jeder ist ein Spieler. In diesem Buch erfahren Sie, was...
Editeur :
Springer Gabler
Parution :
2019-05-17
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?ukuk markets have grown significantly worldwide since their emergence— in Islamic jurisdictions as well as conventional jurisdictions including the US, the UK, Germany, China, France and Singapore. The practices of?ukuk markets, however, have come under close scrutiny....
Editeur :
Palgrave Macmillan
Parution :
2019-05-10
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Das Buch befasst sich mit ökonomischen und gesetzlichen Anforderungen an das Risikomanagement, insbesondere aus §§ 91, 93 AktG, sowie Methoden zu deren Überprüfung durch Wirtschaftsprüfer oder Interne Revision (methodische Grundlagen und konkrete Hilfsmittel, z.B....
Editeur :
Springer Gabler
Parution :
2019-04-30
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A practical, informative guide to banks’ major weakness Legal Data for Banking defines the legal data domain in the context of financial institutions, and describes how banks can leverage these assets to optimise business lines and effectively manage risk. Legal data is...
Editeur :
Wiley
Parution :
2019-04-26
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The new, fully-updated edition of the respected guide to understanding financial extremes, evaluating investment opportunities, and identifying future bubbles Now in its second edition, Boombustology is an authoritative, up-to-date guide on the history of booms, busts,...
Editeur :
Wiley
Parution :
2019-04-23
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An updated review of the theories and applications of corporate risk management After the financial crisis of 2008, issues concerning corporate risk management arose that demand new levels of oversight. Corporate Risk Management is an important guide to the topic that...
Editeur :
Wiley
Parution :
2019-04-22
Collection :
Wiley Finance
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With contributions presented during the Second International Risk Management Conference, this first volume addresses important areas of risk management from a variety of angles and perspectives. The book will cover three separate tracks, including: legal issues in risk...
Editeur :
Palgrave Macmillan
Parution :
2019-04-11
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This book evaluates key commercial law aspects of the relevant law and legislation governing residential mortgage-backed securities (RMBSs) in Australia from a legal perspective. Within the context of a “public benefit test” framework, the book seeks to critically...
Editeur :
Palgrave Macmillan
Parution :
2019-04-11
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Transform your approach to oprisk modelling with a proven, non-statistical methodology Operational Risk Modeling in Financial Services provides risk professionals with a forward-looking approach to risk modelling, based on structured management judgement over obsolete...
Editeur :
Wiley
Parution :
2019-03-28
Collection :
Wiley Finance
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A hands-on guide to using Excel in the business context First published in 2012, Using Excel for Business and Financial Modelling contains step-by-step instructions of how to solve common business problems using financial models, including downloadable Excel templates,...
Editeur :
Wiley
Parution :
2019-03-25
Collection :
Wiley Finance
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Game-theoretic probability and finance come of age Glenn Shafer and Vladimir Vovk’s Probability and Finance, published in 2001, showed that perfect-information games can be used to define mathematical probability. Based on fifteen years of further research,...
Editeur :
Wiley
Parution :
2019-03-21
Collection :
Wiley Series in Probability and Statistics
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This book examines construction safety from the perspective of informatics and econometrics. It demonstrates the potential of employing various information technology approaches to share construction safety knowledge. In addition, it presents the application of...
Editeur :
Springer
Parution :
2019-03-18
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The advent of the euro was a revolution for the 340 million people who exchanged their former currencies – considered a fundamental element of national sovereignty – for this new single currency.Encouraged by some who believe that its introduction gives more cohesion...
Editeur :
Wiley-ISTE
Parution :
2019-03-01
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Das Buch vermittelt erst ein grundlegendes Verständnis für Entwicklung, Funktionsweise und regulatorisches Umfeld von Credit Default Swaps (CDS). Anschließend werden die Modellierung und Bewertung von CDS, konkrete Spezialfälle und der Einsatz im Portfoliomanagement...
Editeur :
Wiley
Parution :
2019-02-26
ePub
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Insight into collateral management and its increasing relevance in modern banking In the wake of recent financial crises, firms of all sizes have adjusted their policies to incorporate more frequent instances of collateral management. Collateral Management: A Guide to...
Editeur :
Wiley
Parution :
2019-02-18
Collection :
Wiley Finance
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