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  • BSZ  (15)
  • HU Berlin
  • London : Palgrave Macmillan  (15)
  • Asien
  • Business enterprises Finance
  • Economics  (15)
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  • 1
    ISBN: 9781137497253
    Language: English
    Pages: Online-Ressource (VII, 119 p, online resource)
    Series Statement: Palgrave Macmillan Studies in Banking and Financial Institutions
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Literature, Cultural and Media Studies
    Parallel Title: Druckausg.
    Parallel Title: Erscheint auch als Quattrociocchi, Bernardino Internal rating systems and the bank-firm relationship
    RVK:
    Keywords: Firmenkundengeschäft ; Kreditwürdigkeit ; Unternehmensnetzwerk ; Klassifikation ; Bewertung ; Science ; Finance ; Business enterprises Finance ; Corporations Finance ; Banks and banking ; Economics ; Management science ; Education. ; Bank ; Unternehmen ; Netzwerk ; Rating
    Abstract: This book provides the conceptual and operational tools for understanding the mechanisms for assigning a rating to a network of companies. In it, the author explores the rating systems of corporate networks and analyses the link between rating and an enterprise network
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  • 2
    ISBN: 9781137006769
    Language: English
    Pages: Online-Ressource (XV, 236 p, online resource)
    Series Statement: Palgrave Macmillan Studies in Banking and Financial Institutions
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Business ; Business and Management ; Accounting ; Bookkeeping ; Business enterprises Finance ; Management ; Finance ; Investment banking ; Securities ; Risk management ; Kreditrisiko ; Risikomanagement
    Abstract: Introducing the fundamentals of retail credit risk management, this book provides a broad and applied investigation of the related modeling theory and methods, and explores the interconnections of risk management, by focusing on retail and the constant reference to the implications of the financial crisis for credit risk management
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  • 3
    ISBN: 9780230275027
    Language: English
    Pages: Online-Ressource (XXVI, 238 p, online resource)
    Series Statement: Palgrave Macmillan Studies in Banking and Financial Institutions
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Business ; Business and Management ; Business enterprises Finance ; Leadership ; Banks and banking ; Investment banking ; Securities ; Risk management ; Macroeconomics ; Aufsatzsammlung
    Abstract: Globalization and the financial crisis highlight the problems caused by worldwide banking organizations and force financial groups to reassess their development strategies. This book discusses the impact of the crisis on the consolidation process in the European financial industry and the need for regulation and financial supervision.
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  • 4
    ISBN: 9780230582064
    Language: English
    Pages: Online-Ressource (XIX, 217 p, online resource)
    Series Statement: Palgrave Macmillan Studies in Banking and Financial Institutions
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Business ; Business and Management ; Ethnology Middle East ; Business enterprises Finance ; Finance ; Banks and banking ; Economics ; Management science ; Bibliografie
    Abstract: In light of Turkey's EU bid and the successful IMF-led disinflation program, this book explores the evolution and performance of the Turkish banking sector. Analyzing the repercussions of overall economic structure, financial crises and political instability on its financial sector, it scrutinizes the prospects for the future of banking sectors.
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  • 5
    ISBN: 9780230582309
    Language: English
    Pages: Online-Ressource (XXV, 264 p, online resource)
    Series Statement: Palgrave Macmillan Studies in Banking and Financial Institutions
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Islamisches Finanzsystem ; Pakistan ; Business ; Business and Management ; Banks and banking, Pakistani ; Banks and banking Religious aspects ; Islam ; Banks and banking ; Business enterprises Finance ; Finance ; Banks and banking ; Pakistan ; Islamische Bank ; Geschichte 1977-2007 ; Pakistan ; Islamische Bank ; Geschichte 1977-2007 ; Pakistan ; Islamische Bank ; Geschichte 1977-2007
    Abstract: This book explores the theoretical and practical features of Islamic banking. Using Pakistan as a detailed illustration, the text discusses recent developments and future prospects, demonstrating the model underpinning interest-free banking. It assesses the practical success of interest-free banking at both individual banks and state level
    Description / Table of Contents: Cover; Contents; List of Tables and Figures; Foreword by Rodney Wilson; Foreword by Agil Natt; Preface and Acknowledgements; List of Abbreviations; Glossary of Arabic Words and Terms; 1 Introduction; 2 Islamic Economics: Divine Vision of Distributive Justice; 3 Islamic Banking and Finance Movement Worldwide: Performance and Prospects; 4 Conceptual Developments in Islamic Banking and Finance in Pakistan (1977-1980); 5 Islamic Banking and Finance Practice in Pakistan (1981-1991)
    Description / Table of Contents: 6 The 1991 Federal Shariat Court (FSC) Judgement on Riba (Interest) and Islamic Banking and Finance Practice in Pakistan7 Efforts to Revive Islamic Banking and Finance in Pakistan (1992-1998); 8 The Impact of the Supreme Court Judgements of 1999 and 2002 on Riba (Interest) on the IBF Movement in Pakistan (1999-2007); 9 The Causes of the Failure of Islamic Banking and Finance in Pakistan; 10 Summary and Conclusions; Notes; References; Appendices; Index
    Description / Table of Contents: Cover; Contents; List of Tables and Figures; Foreword by Rodney Wilson; Foreword by Agil Natt; Preface and Acknowledgements; List of Abbreviations; Glossary of Arabic Words and Terms; 1 Introduction; 2 Islamic Economics: Divine Vision of Distributive Justice; 3 Islamic Banking and Finance Movement Worldwide: Performance and Prospects; 4 Conceptual Developments in Islamic Banking and Finance in Pakistan (1977-1980); 5 Islamic Banking and Finance Practice in Pakistan (1981-1991)
    Description / Table of Contents: 6 The 1991 Federal Shariat Court (FSC) Judgement on Riba (Interest) and Islamic Banking and Finance Practice in Pakistan7 Efforts to Revive Islamic Banking and Finance in Pakistan (1992-1998); 8 The Impact of the Supreme Court Judgements of 1999 and 2002 on Riba (Interest) on the IBF Movement in Pakistan (1999-2007); 9 The Causes of the Failure of Islamic Banking and Finance in Pakistan; 10 Summary and Conclusions; Notes; References; Appendices; Index
    Note: Includes bibliographical references (p. 207-230) and index
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  • 6
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9780230582507
    Language: English
    Pages: Online-Ressource (XVI, 208 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Bankmanagement ; Verbraucherkredit ; Produktmanagement ; Marktsegmentierung ; Marketingtheorie ; Finance ; Consumer credit Management ; Business enterprises Finance ; Finance, Public ; Banks and banking ; Risk management ; Kundenmanagement ; Konsumentenkredit ; Management ; Konsumentenkredit ; Konsumentenkredit
    Abstract: Consumer credit is an integral part of many western societies. This book provides a comprehensive view of how credit-granting institutions operate and discusses the relationship between the strategic objectives set by senior management and the operational strategies employed by credit professionals working at the coal face of credit provision
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; Preface; Acknowledgements; 1 Consumer Credit Management: An Introduction; 2 Organizational Matters; 3 Marketing; 4 Predicting Consumer Behaviour; 5 Customer Acquisition; 6 Customer Management; 7 Collections (Early Stage Delinquency); 8 Debt Recovery (Late Stage Delinquency); 9 Fraud; 10 Provision, Capital Requirements and Basel II; Appendix A: Predictive Models of Consumer Behaviour; Appendix B: US and UK Legislation; Appendix C: Recommended Reading; Notes; Bibliography; Index
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; Preface; Acknowledgements; 1 Consumer Credit Management: An Introduction; 2 Organizational Matters; 3 Marketing; 4 Predicting Consumer Behaviour; 5 Customer Acquisition; 6 Customer Management; 7 Collections (Early Stage Delinquency); 8 Debt Recovery (Late Stage Delinquency); 9 Fraud; 10 Provision, Capital Requirements and Basel II; Appendix A: Predictive Models of Consumer Behaviour; Appendix B: US and UK Legislation; Appendix C: Recommended Reading; Notes; Bibliography; Index
    Note: Includes bibliographical references (p. 186-201) and index
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  • 7
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9780230591004
    Language: English
    Pages: Online-Ressource (XVI, 206 p, online resource)
    Series Statement: IDE-JETRO Series
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    RVK:
    Keywords: 1991-2004 ; Internationale Wirtschaftsbeziehungen ; Wirtschaftsintegration ; Wirtschaftswachstum ; Wirtschaftspolitik ; Asien ; Economics ; Macroeconomics ; International economics ; Asia Economic conditions ; Regional economics ; Spatial economics ; India Foreign economic relations ; Asia Foreign economic relations ; Asia Economic integration ; Konferenzschrift 2005 ; Asien ; Wirtschaftliche Integration ; Asien ; Wirtschaftliche Integration
    Abstract: This book aims to trigger a wider examination of Asian economic integration. It looks at the institutional progression of regional economic integrations in countries in Asia, including Japan, Korea and China; it also looks at India's participation in the Asian market, and how it will affect other East Asian countries
    Description / Table of Contents: Cover; Contents; List of Tables; List of Figures; Preface; Notes on the Contributors; Introduction; 1 India, Japan and Asia; 2 East Asia: Regional Integration among Open Economies; 3 The Relationship between China and India within the Framework of Asian Economic Integration; 4 Economic Cooperation between Thailand and India and its Implications for the Asian Community; 5 The Position of India in the Asian Economy: Progress of Economic Integration and Poverty Alleviation; 6 India's Agricultural Challenges and their Implications for Growth of its Economy; 7 Conclusion and Summary; Index
    Description / Table of Contents: Cover; Contents; List of Tables; List of Figures; Preface; Notes on the Contributors; Introduction; 1 India, Japan and Asia; 2 East Asia: Regional Integration among Open Economies; 3 The Relationship between China and India within the Framework of Asian Economic Integration; 4 Economic Cooperation between Thailand and India and its Implications for the Asian Community; 5 The Position of India in the Asian Economy: Progress of Economic Integration and Poverty Alleviation; 6 India's Agricultural Challenges and their Implications for Growth of its Economy; 7 Conclusion and Summary; Index
    Note: Includes bibliographical references and index
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  • 8
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9780230591486
    Language: English
    Pages: Online-Ressource (XVIII, 255 p, online resource)
    Series Statement: Finance and Capital Markets Series
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    RVK:
    Keywords: Basler Akkord ; Risikomanagement ; Operationelles Risiko ; Bank ; Finance ; Financial risk management ; Operational risk ; Risk management ; Business enterprises Finance ; Risk management ; Risikomanagement ; Betriebsrisiko ; Finanzierung ; Operationelles Risiko ; Risikomanagement ; Basel Committee on Banking Supervision Basler Eigenkapitalvereinbarung 2004 ; Operationelles Risiko ; Risikomanagement ; Basel Committee on Banking Supervision Basler Eigenkapitalvereinbarung 2004
    Abstract: Written by an experienced academic and practitioner, Operational Risk Management fills a gap in the information available on the Basel 2 Accord and offers valuable insights into the nature of operational risk
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; List of Abbreviations; Preface; 1 The Science of Risk Management; 2 The Basel Committee, Basel I and Basel II; 3 The Pillars of the Basel II Accord; 4 The Concept of Operational Risk; 5 The Taxonomy of Operational Risk; 6 Modeling and Measuring Operational Risk: General Principles; 7 Modeling and Measuring Operational Risk: Implementing the AMA; 8 The Management of Operational Risk; 9 Summary and Conclusions; References; Index
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; List of Abbreviations; Preface; 1 The Science of Risk Management; 2 The Basel Committee, Basel I and Basel II; 3 The Pillars of the Basel II Accord; 4 The Concept of Operational Risk; 5 The Taxonomy of Operational Risk; 6 Modeling and Measuring Operational Risk: General Principles; 7 Modeling and Measuring Operational Risk: Implementing the AMA; 8 The Management of Operational Risk; 9 Summary and Conclusions; References; Index
    Note: Includes bibliographical references and index
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  • 9
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9780230626508
    Language: English
    Pages: Online-Ressource (XXVI, 419 p, online resource)
    Series Statement: Finance and Capital Markets Series
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Investmentfonds ; Portfolio-Management ; Kapitalanlage ; Industrieländer ; Business ; Business and Management ; Mutual funds ; Portfolio management ; Business enterprises Finance ; International business enterprises ; Investment banking ; Securities ; Aufsatzsammlung ; Investmentfonds ; Portfoliomanagement ; Diversifikation ; Investmentfonds ; Portfoliomanagement ; Diversifikation
    Abstract: This book addresses the importance of diversification for reducing volatility of investment portfolios. It shows how to improve investment efficiency, and explains how international diversification reduces overall risk while enhancing performance. This book is a crucial tool for any investor looking to improve the profit gain from their investment
    Description / Table of Contents: Cover; Contents; Acknowledgments; Notes on the Contributors; Introduction; 1 Diversification into Art Mutual Funds; 2 Funds of Funds: Diversification, Selection or Expense Arbitrage?; 3 Are Investors Home Biased? Evidence from Germany; 4 International Mutual Fund Efficiency and Monetary Policy Sensitivity; 5 Equity Portfolio Construction: A Comparative Analysis; 6 Improvements and Limitations of the Revised Morningstar Fund Rating Methodology; 7 Mutual Fund Flows and Expected Stock Returns in Germany: The Role of the Benchmark and of Expectation Biases
    Description / Table of Contents: 8 Herding Behavior: Evidence from Portuguese Mutual Funds9 The "Best of Both Worlds" Fund: Exchange Traded Funds in Australia; 10 The Relative Impact of Different Classification Schemes on Mutual Fund Flows; 11 Exploiting Industry Momentum with Sector Funds: The Case of the European Market; 12 US and Chinese Mutual Fund Regulation; 13 Some Insights on the Behavior of the Mutual Fund Industry in Spain; 14 On the Supposed Foreign Superiority: The Italian Tax Puzzle; 15 Corporate Governance of Mutual Funds in Pakistan
    Description / Table of Contents: 16 Determinants of Pension Funds Underwriting and Implications for Portfolio Management: Evidence from Italy17 Managerial Response to Mutual Fund Performance in the Spanish Market: An Agency Approach; 18 Analysis of the Mutual Fund Demand in the Spanish Market; Index
    Description / Table of Contents: Cover; Contents; Acknowledgments; Notes on the Contributors; Introduction; 1 Diversification into Art Mutual Funds; 2 Funds of Funds: Diversification, Selection or Expense Arbitrage?; 3 Are Investors Home Biased? Evidence from Germany; 4 International Mutual Fund Efficiency and Monetary Policy Sensitivity; 5 Equity Portfolio Construction: A Comparative Analysis; 6 Improvements and Limitations of the Revised Morningstar Fund Rating Methodology; 7 Mutual Fund Flows and Expected Stock Returns in Germany: The Role of the Benchmark and of Expectation Biases
    Description / Table of Contents: 8 Herding Behavior: Evidence from Portuguese Mutual Funds9 The "Best of Both Worlds" Fund: Exchange Traded Funds in Australia; 10 The Relative Impact of Different Classification Schemes on Mutual Fund Flows; 11 Exploiting Industry Momentum with Sector Funds: The Case of the European Market; 12 US and Chinese Mutual Fund Regulation; 13 Some Insights on the Behavior of the Mutual Fund Industry in Spain; 14 On the Supposed Foreign Superiority: The Italian Tax Puzzle; 15 Corporate Governance of Mutual Funds in Pakistan
    Description / Table of Contents: 16 Determinants of Pension Funds Underwriting and Implications for Portfolio Management: Evidence from Italy17 Managerial Response to Mutual Fund Performance in the Spanish Market: An Agency Approach; 18 Analysis of the Mutual Fund Demand in the Spanish Market; Index
    Note: Includes bibliographical references and index , Series title from jacket
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  • 10
    ISBN: 9780230800779
    Language: English
    Pages: Online-Ressource (XVIII, 209 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Auslandsinvestition ; Karibischer Raum ; China ; Indien ; Business ; Business and Management ; Investments, Foreign ; Investments, Foreign ; Investments, Foreign ; International business enterprises ; International business enterprises ; International business enterprises ; Business enterprises Finance ; International business enterprises ; Finance ; International economics ; Development economics ; China ; Auslandsinvestition ; Indien ; Auslandsinvestition ; Karibik ; Auslandsinvestition ; China ; Auslandsinvestition ; Indien ; Auslandsinvestition ; Karibik ; Auslandsinvestition
    Abstract: This book takes a unique approach to analysing foreign capital flows. Using the neighbourhood model, it analyzes foreign capital inflows from the perspective of both the source and destination countries. Focusing on China, India and the Caribbean, it explores the direct and spillover effects of foreign capital on the destination countries' economy
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; List of Abbreviations; Preface; 1 Introduction; 2 FDI: Global Trends and Assessments; 3 Explaining FDI Inflows - an Alternate Approach; 4 Foreign Investment: China; 5 Foreign Investment: India; 6 Foreign Investment: The Caribbean; 7 Technology Transfer: Case Studies; 8 Summary and Conclusions; Notes; Bibliography; Name Index; Subject Index
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; List of Abbreviations; Preface; 1 Introduction; 2 FDI: Global Trends and Assessments; 3 Explaining FDI Inflows - an Alternate Approach; 4 Foreign Investment: China; 5 Foreign Investment: India; 6 Foreign Investment: The Caribbean; 7 Technology Transfer: Case Studies; 8 Summary and Conclusions; Notes; Bibliography; Name Index; Subject Index
    Note: Includes bibliographical references (p. 193-202) and indexes
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  • 11
    ISBN: 9780230627246
    Language: English
    Pages: Online-Ressource (XIV, 257 p, online resource)
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Economic and Monetary Union ; Interessenpolitik ; Wirtschaftsverband ; Eurozone ; Öffentliche Meinung ; Vergleich ; Deutschland ; Großbritannien ; Business ; Business and Management ; Euro ; Monetary policy ; Monetary policy ; Business enterprises Finance ; Corporations Finance ; International economics ; Deutschland ; Europäische Union ; Währungsunion ; Großbritannien ; Deutschland ; Europäische Union ; Währungsunion ; Großbritannien
    Abstract: This book explores how British and German business associations formed their political attitudes towards Economic and Monetary Union between 1988 and 1998. With provocative argument and unique insight, it demonstrates how business associations are political entities in their own right, acting strategically to promote members' specific interests
    Description / Table of Contents: Cover; Contents; Acknowledgments; List of Tables and Figures; List of Abbreviations; Introduction: Business and EMU; 1 Germany and the Politics of EMU; 2 German Business and EMU; 3 Britain and the Politics of EMU; 4 British Business and EMU; 5 Conclusion; Appendix A - German Bundestag Elections, 1990-98; Appendix B - British Parliamentary Elections, 1987-97; Notes; Bibliography; News Sources; Index
    Description / Table of Contents: Cover; Contents; Acknowledgments; List of Tables and Figures; List of Abbreviations; Introduction: Business and EMU; 1 Germany and the Politics of EMU; 2 German Business and EMU; 3 Britain and the Politics of EMU; 4 British Business and EMU; 5 Conclusion; Appendix A - German Bundestag Elections, 1990-98; Appendix B - British Parliamentary Elections, 1987-97; Notes; Bibliography; News Sources; Index
    Note: Description based upon print version of record
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  • 12
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9781403946027
    Language: English
    Pages: Online-Ressource (XI, 275 p, online resource)
    Series Statement: Finance and Capital Markets Series
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    RVK:
    Keywords: Zins ; Optionspreistheorie ; Zinsderivat ; Zinsstruktur ; Finanzmathematik ; Theorie ; Wirtschaftsmodell ; Economics ; Interest rates Mathematical models ; Business enterprises Finance ; Investment banking ; Securities ; Business ; Management science ; Macroeconomics ; Business enterprises ; Financial services industry. ; Mathematisches Modell ; Zinsfuß
    Abstract: Growth in the derivatives market has brought with it a greater volume and range of interest rate dependent products. These products have become increasingly innovative and complex to price, requiring sophisticated market models that capture the full dynamics of the yield curve. A study of the evolution of interest rate modelling theory places these models in the correct mathematical context, allowing appreciation of their key assumptions, concepts and implications. The book guides the practitioner through the derivation and implementation of a variety of models that account for the characteristics and irregularities of observed term structures
    Description / Table of Contents: Cover; Contents; Introduction; CHAPTER 1 The Vasicek Model; CHAPTER 2 The Cox, Ingersoll and Ross Model; CHAPTER 3 The Brennan and Schwartz Model; CHAPTER 4 Longstaff and Schwartz: A Two-Factor Equilibrium Model; CHAPTER 5 Langetieg's Multi-Factor Equilibrium Framework; CHAPTER 6 The Ball and Torous Model; CHAPTER 7 The Hull and White Model; CHAPTER 8 The Black, Derman and Toy One-Factor Interest Rate Model; CHAPTER 9 The Black and Karasinski Model; CHAPTER 10 The Ho and Lee Model; CHAPTER 11 The Heath, Jarrow and Morton Model; CHAPTER 12 Brace, Gatarek and Musiela Model
    Description / Table of Contents: CHAPTER 13 Calibrating the Hull…White extended Vasicek approachCHAPTER 14 Calibrating the Black, Derman and Toy discrete time model; CHAPTER 15 Calibration of the Heath, Jarrow and Morton framework; Closing Remarks; Bibliography; Index
    Note: Includes bibliographical references (p. 271-272) and index
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  • 13
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9781403946041
    Language: English
    Pages: Online-Ressource (XIV, 538 p, online resource)
    Series Statement: Finance and Capital Markets Series
    Series Statement: Finance and Capital Markets
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Hedging ; Rohstoffderivat ; Derivat ; Energie ; Preis ; Risiko ; Finance ; Risk management ; Energy industries ; Commodity exchanges ; Hedging (Finance) ; Petroleum industry and trade ; Business enterprises Finance ; Banks and banking ; Risk management ; Financial risk management. ; Business enterprises ; Financial services industry. ; Glossar enthalten
    Abstract: Energy Price Risk was inspired by the success of the courses Tom James has been running in global energy and commodities trading and price risk management. It is the practitioner's guide to optimizing company performance using the correct price risk strategies and tools. Based on the author's extensive experience in the commodity derivatives industry, it comprehensively covers the full spectrum of the energy complex, including crude oil, petroleum products, natural gas, LPG/LNG and electricity. Using many worked examples, this book offers practical insights and solutions
    Description / Table of Contents: Cover; Contents; Foreword; Preface; CHAPTER 1 Risk Management; CHAPTER 2 Energy Derivatives Markets: On-Exchange and Off- Exchange; CHAPTER 3 Energy Futures Contracts; CHAPTER 4 OTC Energy and Related Derivative Markets; CHAPTER 5 Options … Trading and Hedging Application Strategies; CHAPTER 6 Energy Option Pricing … Which Models Are Used?; CHAPTER 7 Value At Risk and Stress Testing; CHAPTER 8 Questions to Ask When Establishing a Risk Management or Trading Program; CHAPTER 9 Management Controls; CHAPTER 10 An Eavesdropper's Guide to Hedging; CHAPTER 11 Operational Risk
    Description / Table of Contents: CHAPTER 12 Derivatives Contracts Application Listing and Some Hedging Scenario ExamplesCHAPTER 13 Risk Management Process and Policy Creation Guidelines; CHAPTER 14 Applied Technical Analysis in the Energy Markets; CHAPTER 15 After Enron … A Practical Guide to Credit Control and Risk Mitigation Methods; CHAPTER 16 Finance in Energy; CHAPTER 17 OTC Derivatives Legal Risk Control and Documentation; CHAPTER 18 International Accounting Standards for Derivatives; Glossary of Terms; APPENDIX 1 Example of a Risk Management Review of a Company Using Derivatives to Hedge Oil Requirement
    Description / Table of Contents: APPENDIX 2 The Main Energy Sector and Transportation Names/Credits Traded in the CDS Market (September 2002)APPENDIX 3 The ISDA Master Agreement; APPENDIX 4 Example Derivatives Trade Confirmation Under ISDA; Index;
    Note: Includes bibliographical references (p. 128-129) and index
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  • 14
    Online Resource
    Online Resource
    London : Palgrave Macmillan
    ISBN: 9781403914552
    Language: English
    Pages: Online-Ressource (XIII, 392 p, online resource)
    Edition: Third Edition
    Series Statement: Finance and Capital Markets Series
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Finance ; Business enterprises Finance ; Capital market ; Business enterprises ; Electronic books
    Abstract: Foreign Exchange in Practice , now in its 3rd edition, is the single reference to the forex market any financial practitioner needs to have. It explains the concepts involved in foreign exchange and their application to real-life situations. Numerous examples are given. The book was originally developed as a textbook for the Citibank Bourse Course, an intensive course available to clients and staff of Citibank to improve their mastery of these markets. Examples in this edition have been updated to reflect current rates and include the Euro rather than the former European national currencies. The 3rd edition contains a substantial amount of new content particularly with regard to financial mathematics, interest rate swaps, option pricing and applications of option derivatives and Value at Risk
    Description / Table of Contents: Cover; Contents; Preface; CHAPTER 1 Exchange Rates; CHAPTER 2 Interest Rates; CHAPTER 3 Cash Flows and Value Dates; CHAPTER 4 Yield Curves and Gapping in the Money Market; CHAPTER 5 Bid and Offer Rates; CHAPTER 6 Forward Exchange Rates; CHAPTER 7 Applications of Forward Exchange; CHAPTER 8 Swaps; CHAPTER 9 The FX Swaps Curve and Gapping in the Foreign Exchange Market; CHAPTER 10 Currency Options … Pricing; CHAPTER 11 Applications of Currency Options; CHAPTER 12 Option Derivatives; CHAPTER 13 Factors Affecting Exchange Rates; CHAPTER 14 Value at Risk; Solutions to Practice Problems
    Description / Table of Contents: Appendix: Cumulative Standard Normal DistributionGlossary of Terms; Index;
    Note: Description based upon print version of record
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  • 15
    ISBN: 9781403946034
    Language: English
    Pages: Online-Ressource (XXII, 362 p, online resource)
    Series Statement: Finance and Capital Markets Series
    Series Statement: SpringerLink
    Series Statement: Bücher
    Series Statement: Springer eBook Collection
    Series Statement: Palgrave Economics & Finance Collection
    Series Statement: Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Parallel Title: Erscheint auch als
    Parallel Title: Printed edition
    RVK:
    Keywords: Internationale Finanzierung ; Arbitrage ; Zinsparität ; Hedging ; Währungsrisiko ; Business ; Business and Management ; Arbitrage ; Hedging (Finance) ; Speculation ; Investments ; Business enterprises Finance ; Investment banking ; Securities ; International economics ; Finance ; Business enterprises ; Financial services industry. ; International economic relations.
    Abstract: Cross-border transactions involve a variety of financial operations, including arbitrage, hedging, speculation, financing and investment. These inter-related operations give rise to foreign exchange exposure and affect the overall financial performance of multinational firms. The book aims to provide an integrated treatment of multinational financial operations, whilst taking into account some real world complexities such as bid/offer spreads, transaction costs, capital rationing, and market imperfections
    Description / Table of Contents: Cover; Contents; List of Figures; List of Tables; Currency Symbols; List of Abbreviations; Notation and Conventions; Preface; CHAPTER 1 Two-Currency, Three-Currency and Multi-Currency Arbitrage; CHAPTER 2 Covered and Uncovered Interest Arbitrage; CHAPTER 3 Other Kinds of Arbitrage and Some Extensions; CHAPTER 4 Hedging Exposure to Foreign Exchange Risk: The Basic Concepts; CHAPTER 5 Financial and Operational Hedging of Exposure to Foreign Exchange Risk; CHAPTER 6 Measuring the Hedge Ratio; CHAPTER 7 Speculation in the Spot and Currency Derivative Markets
    Description / Table of Contents: CHAPTER 8 Speculation: Generating Buy and Sell SignalsCHAPTER 9 International Short-Term Financing and Investment; CHAPTER 10 International Long-Term Financing, Capital Structure and the Cost of Capital; CHAPTER 11 International Long-Term Portfolio Investment; CHAPTER 12 Foreign Direct Investment; References; Index;
    Note: Includes bibliographical references (p. 341-356) and index
    URL: Volltext  (Deutschlandweit zugänglich)
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