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Finance

Results 1753 - 1776 of 5080

Finance

Hardback. Series: Columbia Business School Publishing. Num Pages: 240 pages, 30 figures and tables. BIC Classification: KFFM. Category: (P) Professional & Vocational. Dimension: 229 x 152. Weight in Grams: 454.
Publisher
Columbia University Press
Format
Hardback
Publication date
2017
Condition
New
SKU
V9780231177344
ISBN
9780231177344
Hardback
Condition: New

€ 46.99
€ 33.81

Hardback. Focuses on the historical origins of the credit rating business and its industrial organization structure. This title presents several empirical studies crafted largely around individual firm-level or bank-level data. It emphasizes policy issues that face regulators and credit rating agencies. Series: New York University Salomon Centre Series on Financial Markets & Institutions. Num Pages: 390 pages, biography. BIC Classification: KFF. Category: (P) Professional & Vocational; (UP) Postgraduate, Research & Scholarly; (UU) Undergraduate. Dimension: 235 x 155 x 22. Weight in Grams: 790.
Format
Hardback
Publication date
2002
Publisher
Kluwer Academic Publishers United States
Number of pages
390
Condition
New
SKU
V9781402070167
ISBN
9781402070167
Hardback
Condition: New

€ 129.98

Paperback. Editor(s): Kampe, Dieter M.; Everling, Oliver. BIC Classification: KFFN. Dimension: 244 x 170. Weight in Grams: 405.
Format
Paperback
Publication date
2007
Publisher
Gabler Verlag
Condition
New
SKU
V9783834904188
ISBN
9783834904188
Paperback
Condition: New

€ 78.01

This book represents the latest developments and policy debate on the rapid growth of banking sector credit to the private sector, which continues to occupy the minds of academics and policymakers alike in many Central and Eastern European countries. The contributions discuss ways to assess and respond to excessive credit growth. Editor(s): Enoch, Charles; Otker, Inci. Series: Procyclicality of Financial Systems in Asia. Num Pages: 394 pages, 1, black & white illustrations. BIC Classification: 1D; KFFL. Category: (P) Professional & Vocational; (UP) Postgraduate, Research & Scholarly. Dimension: 160 x 241 x 26. Weight in Grams: 724.
Publication date
2007
Publisher
Palgrave Macmillan United Kingdom
Number of pages
392
Condition
New
SKU
V9780230521513
ISBN
9780230521513
Paperback
Condition: New

€ 114.01

Hardcover. Quantum Trading applies concepts from modern science and philosophy to financial market forecasting. * Offers numerous examples of how his calculations forecasted major turning points in the U.S. stock market and in the currency markets in the last several years. Series: Wiley Trading. Num Pages: 230 pages, Illustrations. BIC Classification: KFFM. Category: (P) Professional & Vocational. Dimension: 228 x 162 x 23. Weight in Grams: 416.
Format
Hardback
Publication date
2011
Publisher
John Wiley & Sons Inc United Kingdom
Edition
1st Edition
Number of pages
230
Condition
New
SKU
V9780470435120
ISBN
9780470435120
Hardback
Condition: New

€ 79.92
€ 68.15

Hardcover. A must-read book on the quantitative value investment strategy

Warren Buffett and Ed Thorp represent two spectrums of investing: one value driven, one quantitative. Where they align is in their belief that the market is beatable. Series: Wiley Finance. Num Pages: 288 pages, illustrations. BIC Classification: KFF; PBW. Category: (P) Professional & Vocational. Dimension: 238 x 160 x 25. Weight in Grams: 490.

Publisher
John Wiley & Sons Inc United States
Number of pages
288
Format
Hardback
Publication date
2012
Edition
1st Edition
Condition
New
SKU
V9781118328071
ISBN
9781118328071
Hardback
Condition: New

€ 76.40
€ 58.92

Paperback. Num Pages: 272 pages, biography. BIC Classification: KFF; KFFH; KFFK; KJMV3. Category: (G) General (US: Trade). Dimension: 235 x 155 x 16. Weight in Grams: 450.
Format
Paperback
Publication date
2015
Publisher
Palgrave Macmillan
Edition
1st ed. 2015
Condition
New
SKU
V9781349469864
ISBN
9781349469864
Paperback
Condition: New

€ 63.07
€ 54.35

hardcover. This book provides a comprehensive treatment of the theoretical concepts and modelling techniques of quantitative risk management and equips readers - whether financial risk analysts, actuaries, regulators, or students of quantitative finance - with practical tools to solve real-world problems. Series: Princeton Series in Finance. Num Pages: 720 pages, illustrations. BIC Classification: KFF; KJMV1. Category: (P) Professional & Vocational; (U) Tertiary Education (US: College). Dimension: 188 x 262 x 46. Weight in Grams: 1654.
Publisher
Princeton University Press
Format
Hardback
Publication date
2015
Edition
Revised
Condition
New
SKU
V9780691166278
ISBN
9780691166278
Hardback
Condition: New

€ 111.66
€ 86.38

Hardcover. State of the art risk management techniques and practices supplemented with interactive analytics

All too often risk management books focus on risk measurement details without taking a broader view. Series: Wiley Finance Series. Num Pages: 558 pages, black & white tables, figures. BIC Classification: GPQD; KFFH; KJMV1. Category: (P) Professional & Vocational. Dimension: 159 x 235 x 44. Weight in Grams: 836.

Format
Hardback
Publication date
2012
Publisher
John Wiley & Sons Inc
Edition
1st Edition
Number of pages
558
Condition
New
SKU
V9781118026588
ISBN
9781118026588
Hardback
Condition: New

€ 92.85
€ 78.65

Hardback. Series: Finance and Capital Markets Series. Num Pages: 458 pages, biography. BIC Classification: KFFM; KJMD. Category: (P) Professional & Vocational; (UU) Undergraduate; (XV) Technical / Manuals. Dimension: 235 x 155 x 25. Weight in Grams: 847.
Format
Hardback
Publication date
2002
Publisher
Palgrave USA United States
Number of pages
458
Condition
New
SKU
V9781403904584
ISBN
9781403904584
Hardback
Condition: New

€ 428.84

Hardcover. Series: Wiley Finance. Num Pages: 160 pages. BIC Classification: KFFM2. Category: (P) Professional & Vocational. Weight in Grams: 666.
Publisher
John Wiley & Sons Inc
Format
Hardback
Publication date
2016
Edition
1st Edition
Condition
New
SKU
V9781119237198
ISBN
9781119237198
Hardback
Condition: New

€ 36.99
€ 27.13

Hardcover. This book provides readers with the theories and methodologies of credit risk and pricing of credit derivatives. Credit Derivativesalso includes detailed, practical implementations of these theories and methodologies to increase practitioners' knowledge of credit risk assessment and credit derivative pricing. Series: Wiley Finance. Num Pages: 304 pages, Ill. BIC Classification: KFFM. Category: (P) Professional & Vocational. Dimension: 241 x 162 x 23. Weight in Grams: 606.
Format
Hardback
Publication date
2002
Publisher
John Wiley and Sons Ltd United States
Edition
1st
Number of pages
304
Condition
New
SKU
V9780471394471
ISBN
9780471394471
Hardback
Condition: New

€ 111.66
€ 93.94

Hardback. Series: Finance and Capital Markets Series. Num Pages: 194 pages, 184 black & white illustrations, biography. BIC Classification: KFFK; KFFM; KNB. Category: (P) Professional & Vocational; (U) Tertiary Education (US: College); (UP) Postgraduate, Research & Scholarly; (UU) Undergraduate. Dimension: 239 x 160 x 21. Weight in Grams: 452.
Format
Hardback
Publication date
2006
Publisher
Palgrave USA United States
Number of pages
194
Condition
New
SKU
V9781403943576
ISBN
9781403943576
Hardback
Condition: New

€ 371.02

Hardback. Covers a range of subjects of concern to portfolio managers - investment style, benchmark replication and customization, managing credit and mortgage portfolios, managing central bank reserves, risk optimization, and performance attribution. Divided into two parts, this book provides solutions and methodologies based on investor inquiries. Series: Advances in Financial Engineering. Num Pages: 1000 pages, 150 line illus. BIC Classification: KFFH; KFFM. Category: (P) Professional & Vocational; (U) Tertiary Education (US: College). Dimension: 245 x 163 x 60. Weight in Grams: 1480.
Format
Hardback
Publication date
2006
Publisher
Princeton University Press United States
Number of pages
1000
Condition
New
SKU
V9780691128313
ISBN
9780691128313
Hardback
Condition: New

€ 176.30
€ 134.56

Paperback. Provides quantitative strategies that any investor can implement with little work using simple, free or low-cost tools and services. Num Pages: 146 pages, colour illustrations. BIC Classification: KFFM2. Category: (G) General (US: Trade). Dimension: 233 x 158 x 8. Weight in Grams: 240.
Publisher
Harriman House Publishing
Number of pages
146
Format
Paperback
Publication date
2013
Edition
1st
Condition
New
SKU
V9780857193001
ISBN
9780857193001
Paperback
Condition: New

€ 38.99
€ 28.56

Hardcover. This book presents a course in quantitative finance, including exercises and worked solutions. It emphasizes instruction and technique in covering the essential topics for a quantitative finance survey course: portfolio theory, decision theory, pricing of primary assets, pricing of derivatives, and the empirical behavior of prices. Num Pages: 402 pages, Illustrations. BIC Classification: KFF; PB. Category: (P) Professional & Vocational. Dimension: 236 x 162 x 23. Weight in Grams: 688.
Format
Hardback
Publication date
2009
Publisher
John Wiley & Sons Inc United Kingdom
Edition
1st Edition
Number of pages
402
Condition
New
SKU
V9780470431993
ISBN
9780470431993
Hardback
Condition: New

€ 176.67

Paperback. Num Pages: 384 pages. BIC Classification: KFF. Category: (P) Professional & Vocational. Dimension: 235 x 187. .
Publisher
John Wiley & Sons Inc
Format
Paperback
Publication date
2016
Edition
1st Edition
Condition
New
SKU
V9781118769461
ISBN
9781118769461
Paperback
Condition: New

€ 31.99
€ 22.94

Paperback. Series: Applied Quantitative Finance. Num Pages: 246 pages, biography. BIC Classification: KCB; KFF; KFFM. Category: (G) General (US: Trade). Dimension: 235 x 155. .
Format
Paperback
Publication date
2014
Publisher
Palgrave Macmillan United Kingdom
Number of pages
246
Condition
New
SKU
V9781349490288
ISBN
9781349490288
Paperback
Condition: New

€ 83.08

Hardcover. Reviews quantitative investment strategies and factors that are commonly used in practice, including value, momentum, and quality, accompanied by their academic origins. This work presents advanced techniques and applications in return forecasting models, risk management, portfolio construction, and portfolio implementation. Series: Chapman & Hall/CRC Financial Mathematics Series. Num Pages: 464 pages, 81 black & white illustrations, 59 black & white tables. BIC Classification: KFFM. Category: (P) Professional & Vocational. Dimension: 244 x 166 x 28. Weight in Grams: 814.
Publisher
Taylor & Francis Inc United States
Number of pages
464
Format
Hardback
Publication date
2007
Edition
1st Edition
Condition
New
SKU
V9781584885580
ISBN
9781584885580
Hardback
Condition: New

€ 136.95

hardcover. An innovative approach to post-crash credit portfolio management Credit portfolio managers traditionally rely on fundamental research for decisions on issuer selection and sector rotation. Quantitative researchers tend to use more mathematical techniques for pricing models and to quantify credit risk and relative value. Series: Frank J. Fabozzi Series. Num Pages: 416 pages, Illustrations. BIC Classification: KFFK. Category: (P) Professional & Vocational. Dimension: 232 x 164 x 35. Weight in Grams: 684.
Format
Hardback
Publication date
2012
Publisher
Wiley
Condition
New
SKU
9781118117699
ISBN
9781118117699
Hardback
Condition: New

€ 99.99
€ 52.39

Paperback. The book presents arguments that are critical of the Basel II Accord, particularly the advanced measurement approach to operational risk.It is argued that the advanced measurement approach is not viable in terms of costs and benefits and is likely to distract financial institutions from the real task of managing operational risk." Series: Finance and Capital Markets Series. Num Pages: 287 pages, biography. BIC Classification: KC; KFF; KFFH; KFFK; KJM. Category: (G) General (US: Trade). Dimension: 229 x 152. .
Format
Paperback
Publication date
2008
Publisher
Palgrave Macmillan United Kingdom
Number of pages
287
Condition
New
SKU
V9781349308224
ISBN
9781349308224
Paperback
Condition: New

€ 193.93

Paperback / so. Series: Schriften Zum Europaischen Management. Num Pages: 432 pages, black & white illustrations, bibliography. BIC Classification: KFCM; KFF; KJM. Category: (G) General (US: Trade). Dimension: 210 x 148 x 24. Weight in Grams: 594.
Format
Paperback
Publication date
2002
Publisher
Deutscher Universit?tsverlag United Kingdom
Number of pages
432
Condition
New
SKU
V9783824477128
ISBN
9783824477128
Paperback
Condition: New

€ 73.46

Paperback / so. Editor(s): Lippe, Gerhard; Esemann, Jorn; Taenzer, Thomas. Num Pages: 274 pages, black & white illustrations, bibliography. BIC Classification: KFC; KFFD1. Category: (G) General (US: Trade). Dimension: 244 x 170 x 16. Weight in Grams: 476.
Format
Paperback
Publication date
2012
Publisher
Gabler Verlag United States
Number of pages
274
Condition
New
SKU
V9783322907370
ISBN
9783322907370
Paperback
Condition: New

€ 56.31

Hardcover. Financial professional Mark Kritzman simplifies six of today's most perplexing financial riddles by taking on today's most persistently challenging financial questions. Through clever examples and plain logic, this book helps readers move beyond those questions to arrive at a deeper understanding of finance and the daily management of money. Series: Wiley Investment. Num Pages: 208 pages, Illustrations. BIC Classification: KFF. Category: (P) Professional & Vocational; (UP) Postgraduate, Research & Scholarly; (UU) Undergraduate. Dimension: 224 x 150 x 21. Weight in Grams: 422.
Format
Hardback
Publication date
2000
Publisher
John Wiley and Sons Ltd United States
Edition
1st Edition
Number of pages
208
Condition
New
SKU
V9780471246572
ISBN
9780471246572
Hardback
Condition: New

€ 43.99
€ 34.68

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