Showing results for "michael j vilbert"
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2017
EN
Accessible
Risk and Return for Regulated Industries provides a much-needed, comprehensive review of how cost of capital risk arises and can be measured, how the special risks regulated industries face affect fair return, and the challenges that regulated industries are likely to face in the future. Rather than following the trend of broad industry introductions or textbook style reviews of utility finance, it covers the topics of most interest to regulators, regulated companies, regulatory lawyers, a...
$110.39 CAD
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Distressed Debt Analysis
Strategies for Speculative Investors
2004
EN
Providing theoretical and practical insight, Distressed Debt Analysis: Strategies for Speculative Investors presents a conceptual, but not overly technical, outline of the financial and bankruptcy law context in which restructurings take place. The book covers the broader financial environment of the reorganization and the basic process of investment analysis and investment strategies. The author uses numerous real-world examples and case studies to emphasize important con...
$71.99 CAD
The End of Banking
Money, Credit, And the Digital Revolution
2015
EN
In this thought-provoking book, Jonathan McMillan dissects banking to reveal its inner workings. He cuts through the complexity of modern finance and explains how banking almost crashed our financial system. Banking is broken, and McMillan reveals why we can no longer fix it. The digital revolution turns out to be the game changer that calls for the end of banking. But McMillan refrains from merely pointing out flaws. Building on economic research and a rigorous analytical approach, he goe...
$24.42 CAD
or Free with Kobo Plus2013
EN
The essential guide to quantifying risk vs. return has been updated to reveal the newest, most effective innovations in financial risk managementWritten for risk professionals and non-risk professionals alike, this easy-to-understand guide helps readers meet the increasingly insistent demand to make sophisticated assessments of their company’s risk exposureProvides the latest methods for measuring and transferring credit risk, increase risk-manageme...
The Forex Options Course
A Self-Study Guide to Trading Currency Options
- Book 429 -
- Wiley Trading
2008
EN
The Forex Options Course is a practical, hands-on guide to understanding and trading forex options. Designed to build a trader's knowledge base in a step-by-step manner, this reliable resource moves from the straightforward to the more sophisticated with discussions of everything from basic plain vanilla calls and puts to intriguing first-generation exotic binary options. Written in a straightforward and accessible style, The Forex Options Course will help you develop the...
$42.99 CAD
- Series -
- Wiley Finance
2012
EN
The ultimate guide for bank management: how to survive and thrive throughout the business cycleAn essential guide for bankers and students of finance everywhere, The Principles of Banking reiterates that the primary requirement of banking—sound capital and liquidity risk management—had been forgotten in the years prior to the financial crash. Serving as a policy guide for market practitioners and regulators at all levels, the book explains the keys to succ...
$97.99 CAD
Investments
Principles of Portfolio and Equity Analysis
- Book 37 -
- CFA Institute Investment Series
2011
EN
A comprehensive guide to investment analysis and portfolio management by an expert team from the CFA InstituteIn a world of specialization, no other profession likely requires such broad, yet in-depth knowledge than that of financial analyst. Financial analysts must not only possess a broad understanding of the financial markets-including structure, organization, efficiency, portfolio management, risk and return, and planning and construction-but they must also have a strong sense ...
$112.99 CAD
When Prime Brokers Fail
The Unheeded Risk to Hedge Funds, Banks, and the Financial Industry
- Book 132 -
- Bloomberg
2010
EN
An informative primer on the new landscape of leading prime brokersBefore the recent financial crisis, both regulators and market participants disregarded the complex and dangerous nature of the relationship between prime brokers (the banks) and their clients (the funds). In When Prime Brokers Fail, J. S. Aikman examines the convoluted structure of this relationship, the main participants, and the impact of the near collapse of prime brokerages on the financial world....
$40.99 CAD
Financial Engineering
The Evolution of a Profession
2011
EN
FINANCIAL ENGINEERINGFinancial engineering is poised for a great shift in the years ahead. Everyone from investors and borrowers to regulators and legislators will need to determine what works, what doesn't, and where to go from here. Financial Engineering-part of the Robert W. Kolb Series in Finance-has been designed to help you do just this. Comprised of contributed chapters by distinguished experts from industry and academia, this reliable resource will...
$74.99 CAD
2011
EN
The definitive question and answer guide to understanding corporate financeFrom the team behind the popular corporate finance website, Vernimmen.com comes a concise guide to the subject, presented in an easy-to-use, highly accessible "question and answer" format. An essential reference for students of corporate finance and practising corporate financiers alike, Frequently Asked Questions in Corporate Finance answers key questions in financial engineering, ...
$38.99 CAD
Structured Finance and Insurance
The ART of Managing Capital and Risk
- Book 339 -
- Wiley Finance
2011
EN
Praise for Structured Finance & Insurance"More and more each year, the modern corporation must decide what risks to keep and what risks to shed to remain competitive and to maximize its value for the capital employed. Culp explains the theory and practice of risk transfer through either balance sheet mechanism such as structured finance, derivative transactions, or insurance. Equity is expensive and risk transfer is expensive. As understanding grows, and, as a result, costs continu...
$93.99 CAD
Financial Derivatives
Pricing and Risk Management
- Book 5 -
- Robert W. Kolb Series
2009
EN
Essential insights on the various aspects of financial derivativesIf you want to understand derivatives without getting bogged down by the mathematics surrounding their pricing and valuation, Financial Derivatives is the book for you. Through in-depth insights gleaned from years of financial experience, Robert Kolb and James Overdahl clearly explain what derivatives are and how you can prudently use them within the context of your underlying business activities.
$74.99 CAD











