Showing results for "jonathan a batten"
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Advances in Financial Risk Management
Corporates, Intermediaries and Portfolios
2015
EN
The latest research on measuring, managing and pricing financial risk. Three broad perspectives are considered: financial risk in non-financial corporations; in financial intermediaries such as banks; and finally within the context of a portfolio of securities of different credit quality and marketability.
$143.10 AUD
Risk Management Post Financial Crisis
A Period of Monetary Easing
2014
EN
Volume 96 of Contemporary Studies in Economic and Financial Analysis provides further insights to postcrisis developments in the global economic and financial environment. Risk Management Post Financial Crisis: A Period of Monetary Easing includes papers from leading authors from central banks, worldrenowned universities and international organisations. Topics and issues addressed by this volume include: an overview of advances in risk management in the post financial crisis environment, t...
$292.59 AUD
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Islamic Finance in Western Higher Education
Developments and Prospects
- Series -
- Economics and Finance (R0)
2012
EN
This is the first of its kind in its topical coverage of the developments and prospects of Islamic finance education at Western higher education. Intended to establish itself as a unique reference for academics and researchers this book gives an insight into ethics and values in curricula development at business schools and in finance departments.
$152.12 AUD
2013
EN
The Handbook is a virtual encyclopedia of public financial management, written by topmost experts, many with a background in the IMF and World Bank. It provides the first comprehensive guide to the subject that has been published in more than ten years. The book is aimed at a broad audience of academics/students, government officials, development agencies and practitioners. It covers both bread-and-butter topics such as the macroeconomic and legal framework for budgeting, budget preparatio...
$287.09 AUD
The International Corporate Governance System
Audit Roles and Board Oversight
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- Economics and Finance (R0)
2016
EN
This book provides a comprehensive approach to Corporate Governance, Audit Process and Risk Management. Furthermore, it provides an analytical and comprehensive approach of the issues facing governance directors, internal and external auditors, risk managers, and public officials conducting assessments based upon the Report on Standards and Codes.
$80.18 AUD
2015
EN
This compact volume is a practical guide for anyone interested in Trade Credit Insurance. The International Credit Insurance & Surety Association (ICISA) presents an approachable but detailed guide written collaboratively by carefully selected industry experts. The guide describes the ‘lifeline’ of the credit insurance product, from the initial application stage to the expiration phase of the policy, including practical use aspects for credit managers. The volume offers compact information...
$61.81 AUD
or Free with Kobo PlusArtificial Intelligence in Financial Markets
Cutting Edge Applications for Risk Management, Portfolio Optimization and Economics
- Series -
- Economics and Finance (R0)
2016
EN
As technology advancement has increased, so to have computational applications for forecasting, modelling and trading financial markets and information, and practitioners are finding ever more complex solutions to financial challenges. Neural networking is a highly effective, trainable algorithmic approach which emulates certain aspects of human brain functions, and is used extensively in financial forecasting allowing for quick investment decision making.This book presents the mos...
$143.10 AUD
Understanding Investment Funds
Insights from Performance and Risk Analysis
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- Economics and Finance (R0)
2013
EN
In light of recent financial crises, the role of investment funds is a recurring subject for discussion. Traditional methods must be adapted with the objective to strengthen scientific knowledge of investment funds. This book provides new insights, ideas and empirical evidence to improve tools and methods for fund performance analysis.
$76.55 AUD
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- Economics and Finance (R0)
2010
EN
This book proposes new methods to build optimal portfolios and to analyze market liquidity and volatility under market microstructure effects, as well as new financial risk measures using parametric and non-parametric techniques. In particular, it investigates the market microstructure of foreign exchange and futures markets.
$143.10 AUD
Investment Beliefs
A Positive Approach to Institutional Investing
2010
EN
Having the right investment beliefs and putting them into practice is key to delivering the right results. Decision makers in the investment industry should worry less about the stocks and products they pick for their clients and more about getting the big picture right; developing investment beliefs are instrumental in making the right choices.
$58.51 AUD
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- T.
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- Economics and Finance (R0)
2011
EN
Analysis of the current financial/economic crisis from the Director of the Banking Sector at the FSA (Financial Services Authority). New edition updated to take account of changes in regulation and legislation in the US, EU and UK. Many of these changes were in line with the recommendations made in the original edition
$67.53 AUD
Forex: Strategies on How to Excel at FOREX Trading
Strategies On How To Excel At Trading, #3
2017
EN
A Step By Step Strategies Guide On How To Excel At FOREX Trading Has Finally Arrived!Strategies on How to Excel at FOREX TradingWhen it comes to generating the maximum amount of return for the minimal amount of investment, the forex market is always going to be the best choice. The amount of leverage it is possible to achieve in the forex market simply can’t be beaten elsewhere. That doesn’t mean it is a sure thing, however, which ...
$5.28 AUD











