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  • MPI Ethno. Forsch.  (13)
  • 2020-2024  (13)
  • Finance.  (12)
  • Political science
  • Economics  (13)
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  • 1
    Online Resource
    Online Resource
    Berlin, Heidelberg : Springer Berlin Heidelberg | Berlin, Heidelberg : Imprint: Springer
    ISBN: 9783662676462
    Language: English
    Pages: 1 Online-Ressource (XIV, 212 p. 4 illus.)
    Uniform Title: Formelsammlung Finanzmathematik
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als Peren, Franz W., 1959 - Financial math for business and economics
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    Keywords: Statistische Methodenlehre ; Theorie ; Social sciences—Mathematics. ; Business enterprises—Finance. ; Finance. ; Business mathematics. ; Accounting. ; Social sciences ; Business enterprises ; Accumulation ; Discounting ; Annuity ; Interest calculation ; Redemption ; Investment ; Effective interest rate ; ICMA International Capital Market Association ; Depreciation ; Present value ; Wirtschaftsstatistik
    Abstract: Calculation of Interest -- Annual Percentage Rate -- Depreciation -- Annuity Calculation -- Sinking Fund Calculation -- Investment Calculation -- Financial Mathematical Factors. .
    Abstract: This compendium contains and explains essential mathematical formulas for financial economics and finance. A broad range of aids and supportive examples will help readers to understand the formulas and their practical applications. This mathematical formulary is presented in a practice-oriented, clear, and understandable manner, as it is needed for meaningful and relevant application in global business, as well as in the academic setting and economic practice. The topics presented include but are not limited to accumulation, discounting, annuity, interest calculation, redemption, investment, effective interest rates, ICMA, depreciation, and present value. Given its scope, the book offers an indispensable reference guide and is a must-read for undergraduate and graduate students, as well as managers, scholars, and lecturers in financial economics and business.
    Note: Translation from the German language edition: "Formelsammlung Finanzmathematik" by Franz W. Peren, © Der/die Herausgeber bzw. der/die Autor(en), exklusiv lizenziert an Springer Verlag GmbH, DE, ein Teil von Springer Nature 2023
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  • 2
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Palgrave Macmillan
    ISBN: 9783031160080
    Language: English
    Pages: 1 Online-Ressource (XIX, 425 p. 11 illus., 9 illus. in color.)
    Edition: 8th ed. 2023.
    Parallel Title: Erscheint auch als
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    Parallel Title: Erscheint auch als Aliber, Robert Z., 1930 - Manias, panics, and crashes
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    Keywords: Finanzkrise ; Spekulation ; Bankenkrise ; Wirtschaftskrise ; Geldgeschichte ; Bankgeschichte ; Finanzkrise ; Lender of Last Resort ; Welt ; USA ; Financial crises ; Business cycles ; Depressions ; Macroeconomics. ; Finance. ; History. ; Economic history. ; Financial services industry. ; International relations. ; Financial crises ; Financial history ; Financial crashes ; Global financial crisis ; Financial markets ; Financial bubbles ; National banking systems ; Asset-price bubbles ; Exchange-rate volatility ; International financial systems ; Economic history ; Lender of last resort ; International economy ; Liquid capital ; Capital markets ; Housing based credit bubbles ; Minksy moment ; Japanese bubble of late 1980s ; Credit fueled price bubbles ; Cryptocurrencies ; Finanzkrise ; Bankenkrise ; Depression ; Geschichte ; Finanzwirtschaft ; Spekulation ; Börsenkrach ; Krise ; Weltwirtschaft ; Geschichte
    Abstract: 1: Financial Crises: a Hardy Perennial -- 2: The Anatomy of a Typical Crisis.-3: Speculative Manias -- 4: Fueling the Flames: the Expansion of Credit -- 5: The Critical Stage – When the Bubble Is About To Pop -- 6: Bernie Madoff: Frauds, Swindles, and the Credit Cycle -- 7: Domestic Contagion: Twin Peaks? -- 8: International Contagion 1618–1933 -- 9: Bubble Contagion: Mexico City to Tokyo to Bangkok to New York, London, and Reykjavik -- 10: Policy Responses: Benign Neglect, Exhortation, and Bank Holidays -- 11: The Domestic Lender of Last Resort -- 12: The International Lender of Last Resort before 2000.-13: The 21st Century International Lender of Last Resort -- 14: Bitcoin: Worse than a Ponzi -- 15 The Lessons of History.
    Abstract: In the Eighth Edition of this classic text on the financial history of bubbles and crashes, Robert McCauley joins with Robert Aliber in building on Charles Kindleberger's renowned work. McCauley draws on his central banking experience to introduce new chapters on cryptocurrency and the United States as the 21st Century global lender of last resort. He also updates the book's coverage of the recent property bubble in China, as well as providing new perspectives on the US housing bubble of 2003-2006, and the Japanese bubble of the late 1980s. And he gives new attention to the social psychology that leads people to take the risk of investing in Ponzi schemes and asset price bubbles. For the first time in this revised and updated edition, figures highlight key points to ensure that today’s generation of finance and economic researchers, students, practitioners and policy-makers—as well as investors looking to avoid crashes—have access to this panoramic history of financial crisis.
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  • 3
    ISBN: 9783031230158
    Language: English
    Pages: 1 Online-Ressource (VIII, 393 p. 32 illus., 21 illus. in color.)
    Parallel Title: Erscheint auch als
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    Parallel Title: Erscheint auch als Power and responsibility
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    Keywords: Political science—Philosophy. ; Game theory. ; Economics. ; Social choice. ; Welfare economics. ; Political planning. ; Political science ; Public choice ; Game theory ; Political economy ; Philosophy ; Quantitative economics ; voting and voting power ; labor economics ; Social Choice and Welfare ; Festschrift ; Aufsatzsammlung
    Abstract: Chapter 1. Instead of an introduction - Manfred on his 75th Birthday (Heinz Kurz) -- Part I. Economics and Philosophy -- Chapter 2. Three Types of Dramatic Irony (Timo Airaksinen) -- Chapter 3. Defence is of Much More Importance than Opulence: Adam Smith on the Political Economy of War (Heinz Kurz) -- Part II. Labor Economics -- Chapter 4. Relative Absence Concerns, Positional Consumption Preferences and Working Hours (Laszlo Goerke) -- Chapter 5. Power, Responsibility and Social Policy: The Impact of Basic Income in a Competitive Experimental Labor Market (Veera Jokipalo) -- Part III. Voting and Voting Power -- Chapter 6. Computing the Public Good index for weighted voting games with precoalitions using dynamic programming (Jochen Staudacher) -- Chapter 7. The Art and Beauty of Voting Power (Sascha Kurz) -- Chapter 8. An application of power indices for the family of weighted majority games in partition function form (José Alonso Meijide) -- Chapter 9. Measuring Voting Power in Complex Shareholding Structures: a Public Good Index Approach (Izabella Stach).
    Abstract: Written by leading scholars from various disciplines, this book presents current research on topics such as public choice, game theory, and political economy. It features contributions on fundamental, methodological, and empirical issues around the concepts of power and responsibility that strive to bridge the gap between different disciplinary approaches. The contributions fall into roughly four sub-disciplines: voting and voting power, public economics and politics, economics and philosophy, as well as labor economics. On the occasion of his 75th birthday, this book is written in honor of Manfred J. Holler, an economist by training and profession whose work as a guiding light has helped advance our understanding of the interdisciplinary connections of concepts of power and responsibility. He has written many articles and books on game theory, and worked extensively on questions of labor economics, politics, and philosophy. .
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  • 4
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Palgrave Macmillan
    ISBN: 9783030880002
    Language: English
    Pages: 1 Online-Ressource(XIII, 247 p. 4 illus., 3 illus. in color.)
    Edition: 1st ed. 2022.
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
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    Parallel Title: Erscheint auch als Scharfman, Jason A., 1978 - Cryptocurrency compliance and operations
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    Keywords: Virtuelle Währung ; Finanzmarktregulierung ; Geldwäsche ; Normbefolgung ; Blockchain ; Due Diligence ; Portfolio-Management ; Institutioneller Investor ; Finance. ; Financial engineering. ; Finance—Law and legislation. ; crypto and digital asset markets ; decentralized finance (DeFi) tokenization ; blockchain and distributed ledger technology ; operational procedures of the cryptocurrency markets ; crypto compliance ; cryptocurrency investment operations ; launching a crypto fund ; crypto anti-money laundering compliance ; crypto case studies ; crypto operations policies ; crypto lending ; crypto mining ; yield farming
    Abstract: CHAPTER 1: Introduction to Cryptocurrency Compliance and Operations -- CHAPTER 2: Procedures for Launching a Crypto Investment Fund -- CHAPTER 3: Operations for Crypto Asset Managers -- CHAPTER 4: Compliance and Governance for Crypto Asset Managers -- CHAPTER 5: Anti-Money Laundering Compliance for Cryptocurrencies -- CHAPTER 6: Crytpocurrency Regulatory Framework and Regulatory Reporting -- CHAPTER 7: Crypto Related Services and Interaction with Blockchain and Distributed Ledger Technology -- CHAPTER 8: Cryptocurrency Compliance and Operations Case Studies -- CHAPTER 9: Decentralized Finance (DeFi) Compliance and Operations -- CHAPTER 10: Investor Due Diligence on Crypto currency and digital asset investments -- CHAPTER 11: Additional crypto operations and compliance topics -- CHAPTER 12: Trends and Future Developments.
    Abstract: Cryptocurrencies and digital assets are increasingly garnering interest from institutional investors. This is on top of the already strong support in place for cryptocurrencies such as Bitcoin from the retail investor. With this rapid growth has come a series of complex operational and regulatory compliance challenges. These challenges have become further exacerbated by the increasing pace of technological advances in areas such as decentralized finance (DeFi) tokenization, blockchain and distributed ledger technology (DLT) essential to the crypto and digital asset markets. This book will be the first book to provide current and practical guidance on the operational and compliance foundations of crypto investing and asset management. The book will include: · Step-by-step analysis of the modern operational mechanics behind cryptocurrency investment operations · Detailed guidance and example documentation on the procedures launching a crypto fund · Explanation of the operational procedures and compliance requirements for crytpo asset managers · Detailed analysis of crypto anti-money laundering compliance, regulations and laws for cryptocurrencies · Up-to-date analysis of recent crypto case studies, frauds and regulatory enforcement actions · Review of the digital asset landscape including non-fungible tokens (NFTs) and asset tokenization · Current examples of real-world crypto operations policies and compliance manuals · Analysis of the emerging trends in crypto operations and compliance in areas including blockchain, DeFi, crypto lending, yield farming, crypto mining and dApps Cryptocurrency Compliance and Operations will be an invaluable up-to-date resource for investors, fund managers, and their operations and compliance personnel as well as service providers on the implementation and management of best practice operations. Jason Scharfman is the Managing Partner of Corgentum Consulting, a specialist consulting firm that performs operational due diligence reviews and background investigations of fund managers of all types, including crypto asset managers, direct crypto investments, hedge funds, private equity, real estate, and long-only funds on behalf of institutional investors, including pensions, endowments, foundations, fund of funds, family offices, and high-net-worth individuals. He is recognized as one of the leading experts in the fields of digital asset and cryptocurrency compliance, fund operations and due diligence.
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  • 5
    ISBN: 9783030883744
    Language: English
    Pages: 1 Online-Ressource (XXI, 270 p. 28 illus., 11 illus. in color.)
    Edition: 1st ed. 2022.
    Series Statement: Risk, Governance and Society 20
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als Risk management
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    Keywords: Risikomanagement ; Coronavirus ; Corporate Governance ; Aufsichtsbehörde ; KMU ; Risk management. ; Macroeconomics. ; Public administration. ; Economic sociology. ; Political science. ; Financial risk management. ; Finance.
    Abstract: Understanding risk debates through Mary Douglas: environment, inequality and COVID-19 -- Analyzing model risks in risk aggregation of non-financial corporations -- The interruptive power of COVID-19 under a business continuity perspective -- Modelling the risk and reward trade-off for SMEs: a case study -- The relationship between ERM and performance revisited: empirical evidence from SMEs -- Risk management implementation by SMEs investigated through a lens of ERM maturity models -- Drivers of ERM in SMEs: which corporate governance features matter? -- Insights from the boardroom: opening the ‘black box’ of board risk oversight -- Supervisory pressure and risk management systems: empirical evidence from the banking context -- Setting up risk disclosure: case study insights from an integrated reporting pioneer -- Integrated report and credit risk: empirical evidence from a mandatory integrated reporting setting -- Lessons learnt and directions for future research on risk and risk management in diverse settings.
    Abstract: This volume offers new, convincing empirical evidence on topical risk- and risk management-related issues in diverse settings, using an interdisciplinary approach. The authors advance compelling arguments, firmly anchored to well-accepted theoretical frameworks, while adopting either qualitative or quantitative research methodologies. The book presents interviews and surveys with risk managers to gather insights on risk management and risk disclosure in practice. Additionally, the book collects and analyzes information contained in public reports to capture risk disclosure and perceptions on risk management impacts on companies’ internal organization. It sheds light on financial and market values to understand the effect of risk management on actual and perceived firm’s performance, respectively. Further, it examines the impacts of risk and risk management on society and the economy. The book improves awareness and advances knowledge on the complex and changeable risk and risk management fields of study. It interweaves among topical, up-to-date issues, peculiar, under-investigated contexts, and differentiated, complementary viewpoints on the same themes. Therefore, the book is a must-read for scholars and researchers, as well as practitioners and policy makers, interested in a better understanding of risk and risk management studies in different fields.
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  • 6
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783030920586
    Language: English
    Pages: 1 Online-Ressource (XXIII, 343 p. 86 illus., 84 illus. in color.)
    Edition: 4th ed. 2022.
    Series Statement: Springer Texts in Business and Economics
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
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    Keywords: Geldpolitik ; Finanzpolitik ; Wirtschaftspolitik ; Makroökonomik ; Theorie ; Macroeconomics. ; Economic policy. ; Econometrics. ; Finance. ; macroeconomic policy ; fiscal policy ; monetary policy ; Modern Monetary Theory ; asset-price bubble ; Covid-19 ; inflation ; supply-side model ; Keynesian model ; Makroökonomie ; Finanzpolitik ; Geldpolitik ; Wirtschaftspolitik
    Abstract: Chapter 1. Introduction and Overview of the Fourth Edition -- Chapter 2. National Income Accounts -- Chapter 3. Budget Deficits, Trade Deficits and Global Capital Flows: The National Savings Identity -- Chapter 4. Aggregate Demand: Setting the Stage for Demand-Side Stabilization -- Chapter 5. Demand-Side Stabilization: Overheating, Hard Landing, and Everything in Between -- Chapter 6. Long-Term Interest Rates, the Yield Curve, and Hyperinflation -- Chapter 7. ISLM: The Engine Room -- Chapter 8. The Classical Model -- Chapter 9. The Keynesian Model -- Chapter 10. The Supply-Side Model and the New Economy -- Chapter 11. After Covid: MMT and other Major Global Macropolicy Issues -- Chapter 12. Central Banks and Monetary Policy.
    Abstract: This book is an applications-oriented text designed for individuals who desire a hands-on approach to analyzing the effects of fiscal and monetary policies. Significantly updated for the fourth edition, the text provides an understanding of the global economy in the wake of the COVID crisis, discussing topics such as pandemic related supply and demand-side shocks, the role of Modern Monetary Theory (MMT) in financing COVID rescue plans, the effect of the US, India, Eurozone and China’s post-COVID economies on emerging and transitioning economies, and the resurgence of inflation. This edition includes deeper coverage on the issue of budget deficit sustainability and on trade wars, especially in a global context, and revisits the life cycles of speculative asset price (SAP) bubbles, especially in the housing markets and in SPACs. The fourth edition contains several brand-new cases and media articles that are carefully positioned to relate explicitly to theory, and to look ahead to and preempt global macro situations and polices in the years to come. MBA students and Executive MBA students who appreciate the importance of monetary and fiscal analysis will find this text to be right on target. Financial analysts and individual investors who need to strip away economic myths and jargon and systematically examine and understand the effects of macro policies on variables such as inflation, output, employment and interest rates, will also find the book extremely useful.
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  • 7
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Palgrave Macmillan
    ISBN: 9783030881856
    Language: English
    Pages: 1 Online-Ressource(XX, 316 p. 73 illus., 68 illus. in color.)
    Edition: 1st ed. 2022.
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
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    Parallel Title: Erscheint auch als Nasir, Muhammad Ali Off the target
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    Keywords: Eurozone ; Europäische Integration ; Finanzkrise ; Clearing ; Coronavirus ; Öffentliche Schulden ; Klimawandel ; Wirtschaftliche Anpassung ; EU-Staaten ; International economics. ; Macroeconomics. ; Economic policy. ; Economics. ; International economic relations. ; Finance.
    Abstract: 1:-Wrong Intentions & Flawed Foundations -- 2:-Great Moderation let the Party Going -- 3:- Global Financial Crisis -Tip of the Iceberg -- 4.:-On the Non-Monetary Side & A World Beyond ECB -- 5:- A Jigsaw of Financial Institution & Unions within Union -- 6:-Stagnation in Europe: A lost decade of the EU -- 7:-TARGET2: Off the Target -- 8:-Europe: The Way Forward.
    Abstract: This book describes the history of European integration and the Eurozone, before presenting ways in which the European Union can move forward. Charting integration from before the Second World War, the foundations of the Eurozone are examined to provide insight into the challenges faced by the European Union, including the Global Financial Crisis, over recent decades. The impact of TARGET2 and the European Monetary System are also discussed. This book aims to highlight ways that current challenges to European integration, such as the COVID-19 crisis, environmental degradation, and fiscal debt, can be overcome to promote economic growth and social advancement. It will be relevant to students, researchers, and policymakers interested in the political economy and European economic policy.
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  • 8
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Palgrave Macmillan
    ISBN: 9783030889319
    Language: English
    Pages: 1 Online-Ressource(XV, 213 p. 1 illus.)
    Edition: 2nd ed. 2022.
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als Hałaburda, Hanna, 1978 - Beyond Bitcoin
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    Keywords: Virtuelle Währung ; Elektronisches Geld ; Blockchain ; Macroeconomics. ; Technological innovations. ; Econometrics. ; Business information services. ; Finance.
    Abstract: Introduction -- Means of exchange: Ever present competition -- Platform-based currencies -- Bitcoin and arrival of Cryptocurrencies -- The Rich Landscape of Crypto -- Smart conrtacts and Blockchain -- Enterprise Blockchains -- Future full of Possibilities.
    Abstract: Over the last few years, we have witnessed an upsurge of enthusiasm about cryptocurrencies and, more generally, the so-called blockchain technology. In this new and updated edition, the authors explore what exactly these new technologies entail and promise. They argue that to understand the potential challenges and further developments in the market, one needs to develop an understanding of what needs these innovations fulfill and what business models are consistent with their use. For that, we need to sufficiently understand both the technology and how it affects the economic forces at play. This book goes beyond the headlines that say “blockchain will decentralize everything” and provides in-depth, rigorous analysis of what can be effectively decentralized and how this decentralization will work. The book draws not only on the general knowledge of digital currencies and blockchain technologies, but also on recent academic research on the topic. Featuring a fully updated chapter on cryptocurrencies and new chapters on smart contracts and enterprise blockchains, this book is critical reading for those interested in how technology developments impact business and society. Hanna Halaburda is Associate Professor of Technology, Operations and Statistics at the Stern School of Business at New York University, USA. Previously, she was on an assistant professor at Harvard Business School, USA; a visiting scholar at Columbia University, USA; and a senior economist at the Bank of Canada. Her research specializes in the economics of digital currencies, platform competition, and the impact of technology on firms' strategy. Miklos Sarvary is the Carson Family Professor of Business at Columbia Business School, USA, where he serves as Faculty Director of the Media and Technology Program. Previously, he was on the faculty at Stanford University, USA; Harvard University, USA; and INSEAD. His research has focused on information and news markets, social network competition and, more recently, online advertising effectiveness. Guillaume Haeringer is Associate Professor at the Zicklin School of Business at Baruch College, USA. Previously he was visiting faculty at Stanford University, USA; on the faculty at the Universitat Autònoma de Barcelona, Spain; lecturer at the University of Warwick, UK. His research focuses on market design, matching theory, game theory and the economics of cryptocurrencies.
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  • 9
    Online Resource
    Online Resource
    Singapore : Springer Singapore | Singapore : Imprint: Palgrave Macmillan
    ISBN: 9789811647406
    Language: English
    Pages: 1 Online-Ressource (XXVIII, 389 p. 153 illus., 4 illus. in color.)
    Edition: 1st ed. 2022.
    Series Statement: The Great Transformation of China, China's Economic Transformation, Innovation and Development
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als Guan, Qingyou, 1977 - Internet finance
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    Keywords: Internet ; Finanzdienstleistung ; Elektronisches Geld ; Electronic Banking ; Crowdfunding ; Finanztechnologie ; China ; Finance. ; Economic history. ; Asia—Politics and government.
    Abstract: Chapter One New Thinking on Dangerous Situation—A Great Power in the Transformation -- Chapter Two Uncover the Truth—Ecosystem of Internet Finance -- Chapter Three Vanguard of Internet Finance—Third-party Payment -- Chapter Four An Initial Attempt—Roller-coaster Online Financial Management -- Chapter Five Prominence of “Value” Accumulation—Big Data Finance -- Chapter Six A Bridge between Capital Supply and Demand—P2P Online Lending Platform -- Chapter Seven More Open Financing—Crowdfunding -- Chapter Eight Rising Entrance of Flow—Vertical Financial Search -- Chapter Nine The Foreftront End That Is Ignored—Network Credit Investigation -- Chapter Ten Where is the Road—The Future of Internet Finance.
    Abstract: This book summarizes recent Chinese discussions about Internet finance—a new financial business type resulting from an innovative thinking under the new normal—in the light of the actual situation of China in transformation, especially the thirst of the grass-roots economy including medium-small and micro-sized enterprises as well as residents for financial services. The Internet finance is of great significance for optimizing and upgrading the industrial structure, improving the demand structure and reshaping the economic growth mode in China. This book will interest scholars, journalists, and businesspeople.
    Note: Jointly published with Zhejiang University Press
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  • 10
    ISBN: 9783658286125
    Language: German
    Pages: 1 Online-Ressource (XXVIII, 406 Seiten)
    Edition: 2. Auflage
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als Kruse, Susanne Aktien-, Zins- und Währungsderivate
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    Keywords: Derivat ; Finanzanalyse ; Aktie ; Aktienoption ; Zinsderivat ; Währungsderivat ; Theorie ; Finance. ; Macroeconomics. ; Management. ; Lehrbuch ; Lehrbuch ; Derivat ; Optionshandel ; Risikoanalyse
    Abstract: Praxisorientiert und detailliert präsentiert dieses Buch die Welt der Derivate. Im Fokus stehen dabei Aktien-, Zins- und Währungsderivate, da diese Produkte in nahezu jedem Kreditinstitut zur Risikosteuerung, in deren Kundengeschäft oder im Corporate Treasury größerer international tätiger Unternehmen eingesetzt werden. Die Konzentration auf Aktien-, Zins- und Währungsderivate ermöglicht zudem eine einfache Einführung in die Bewertung und Risikoanalyse von Derivaten ohne tiefere mathematische Vorkenntnisse vorauszusetzen. Didaktisch setzt dieses Buch auf eine Vielzahl von Fallbeispielen, anhand derer sich die Einsatzmöglichkeiten von Derivaten in der Berufspraxis erschließen. Zusätzlich bietet es einen umfangreichen Einblick in die Umsetzung der dargestellten Bewertungsmodelle, nicht ohne auf die damit verbundenen Herausforderungen in der Praxis hinzuweisen. In der zweiten Auflage wurden neben einer durchgehenden Überarbeitung und Aktualisierung dieses Buches die vorgestellten Bewertungsansätze im Hinblick auf die in der Praxis im Nachgang zur Finanzkrise auftretende Problematik negativer Zinssätze diskutiert und erweitert. Ebenfalls wurden Veränderungen an den Derivatebörsen, insbesondere der EUREX, sowie die Regulierung des OTC-Derivatemarktes im Nachgang zur Finanzkrise berücksichtigt. Der Inhalt • Finanzmathematische Grundlagen • Derivatemärkte • Forwards und Futures • Swaps • Optionen Die Autorin Prof. Dr. Susanne Kruse ist Expertin für Finanzmathematik und seit 2015 Professorin an der Fakultät für Wirtschaftswissenschaften der Hochschule Karlsruhe – Technik und Wirtschaft. Zuvor hatte sie zehn Jahre eine Professur an einer privaten Bankenhochschule inne und sammelte Berufserfahrung in der Finanzindustrie, die sie in ihre Lehre und in dieses Buch einfließen lässt.
    Description / Table of Contents: Grundlagen der Finanzmathematik -- Derivatemärkte -- Forwards und Futures -- Swaps -- Optionen -- Aufgaben zur Vertiefung.
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  • 11
    Online Resource
    Online Resource
    Wiesbaden : Springer Gabler
    ISBN: 9783658286149
    Language: German
    Pages: 1 Online-Ressource (XVI, 96 Seiten)
    Edition: 2. Auflage
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
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    Keywords: Derivat ; Finanzanalyse ; Aktie ; Aktienoption ; Zinsderivat ; Währungsderivat ; Theorie ; Finance. ; Economic theory. ; Business mathematics.
    Abstract: Die „Formelsammlung Aktien-, Zins- und Währungsderivate“ bietet eine strukturelle Ergänzung zum Buch „Aktien-, Zins- und Währungsderivate – Märkte, Einsatzmöglichkeiten, Bewertung und Risikoanalyse“ und richtet sich sowohl an Studierende an Fachhochschulen und Universitäten mit den Schwerpunkten Kapitalmarkt, Bankbetriebslehre und Unternehmensfinanzierung als auch an Praktiker in den Bereichen Treasury, Risikocontrolling und Innenrevision von Banken oder Industrieunternehmen. Ihnen wird ein übersichtliches Nachschlagewerk der Formeln und damit ein systematischer Zugang zur Bewertung und Risikoanalyse von festverzinslichen Finanzinstrumenten und Derivaten an die Hand gegeben werden. Hierbei konzentriert sich diese Formelsammlung nicht nur auf die im genannten Fachbuch dargestellten Formeln, sondern präzisiert es hinsichtlich der dort aus didaktischen Gründen oftmals skizzierten Bewertungsideen. Der Inhalt • Grundprinzipien der Finanzmathematik und der Zinsrechnung • Forwards und Futures • Swaps • Optionen Die Autorin Prof. Dr. Susanne Kruse ist Expertin für Finanzmathematik und seit 2015 Professorin an der Fakultät für Wirtschaftswissenschaften der Hochschule Karlsruhe – Technik und Wirtschaft. Zuvor hatte sie zehn Jahre eine Professur an einer privaten Bankenhochschule inne und sammelte Berufserfahrung in der Finanzindustrie, die sie in ihre Lehre und in dieses Buch einfließen lässt.
    Description / Table of Contents: Grundprinzipien der Finanzmathematik und der Zinsrechnung -- Bewertung von festverzinslichen Finanzinstrumenten -- Ermittlung von Zinsstrukturkurven -- Risiikoanalyse zinstragender Finanzinstrumente -- Forward- und Future-Geschäfte -- Aktienforwards und -futures -- Zinsforwards und -futures -- Devisenforwards und -futures -- Equity Swaps -- Zinsswaps -- Währungsswaps -- Einführung in die Optionsgeschäfte -- Aktienoptionen -- Zinsoptionen -- Devisenoptionen.
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  • 12
    ISBN: 9783658310943
    Language: German
    Pages: 1 Online-Ressource(XII, 118 S. 5 Abb.)
    Edition: 1st ed. 2021.
    Series Statement: Quick Guide
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als Käser-Ströbel, Christopher, 1979 - Quick Guide Unternehmensfinanzierung für KMU und Start-ups
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    Keywords: KMU ; Unternehmensgründung ; Unternehmensfinanzierung ; Finance. ; Business. ; Management science. ; Unternehmensgründung ; Klein- und Mittelbetrieb ; Finanzierung
    Abstract: Finanzierungsplanung -- Planrechnungen -- Finanzierungsmöglichkeiten und Finanzierungspartner -- Bonitätseinstufung und Berichtswesen -- Unternehmenssteuern -- Praxistipps.
    Abstract: Das Buch geht auf konkrete Fragestellungen und kritische Punkte im Rahmen der Unternehmensfinanzierung und dem Umgang mit Kreditgebern ein. Handlungsempfehlungen schaffen dabei Transparenz für die Praxis sowie Hilfestellungen und Anregungen. Auf theoretischen Tiefgang wurde bewusst verzichtet, das Buch soll einzelne Sachverhalte und Fragestellungen komprimiert und direkt auf den Punkt bringen. Der Inhalt Finanzierungsplanung Planrechnungen Finanzierungsmöglichkeiten und Finanzierungspartner Bonitätseinstufung und Berichtswesen Unternehmenssteuern Praxistipps Der Autor Christopher Käser-Ströbel ist selbstständiger Berater mit den Schwerpunkten Unternehmensfinanzierung und Unternehmensfinanzen. Zuvor war er über 15 Jahre im internationalen Bankgeschäft in der Kreditanalyse und Firmenkundenbetreuung zuständig sowie als Finanzleiter eines mittelständischen Unternehmens tätig.
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  • 13
    Online Resource
    Online Resource
    Wiesbaden : Springer Fachmedien Wiesbaden | Wiesbaden : Imprint: Springer Gabler
    ISBN: 9783658318390
    Language: German
    Pages: 1 Online-Ressource(XXIII, 540 S. 39 Abb., 1 Abb. in Farbe.)
    Edition: 3rd ed. 2020.
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als Glaser, Christian Leasing A - Z
    RVK:
    Keywords: Leasinggesellschaft ; Betriebliche Kennzahl ; Finance. ; Accounting. ; Bookkeeping . ; Wörterbuch ; Leasinggesellschaft ; Kennzahl
    Abstract: Einleitung -- Grundlagen von Kennzahlen -- Kennzahlen in alphabetischer Reihenfolge -- Kennzahlenbasierte Unternehmenssteuerung -- Kennzahlenverzeichnis.
    Abstract: Das Buch unterstützt Leasinggesellschaften beim Aufbau von Kennzahlensystemen und bei der ausgewogenen Auswahl sowie dem Verständnis einzelner Kennzahlen. Kennzahlen müssen dabei stets entscheidungsunterstützend sein. Durch ein solides Verständnis über Aussagekraft, Grenzen und Beeinflussungsmöglichkeiten der Leasing-Kennzahlen können noch bessere unternehmerische Entscheidungen getroffen werden. Das Buch ist dabei sowohl für Einsteiger als auch für erfahrene Profis von Interesse. „Das Buch ist daher uneingeschränkt nicht nur dem engeren Kreis von Beschäftigten im Leasing zu empfehlen, sondern allen, die im Kontakt zur Branche stehen und Informationen suchen. Handlich und dennoch breit und anschaulich werden die Leasing-Begriffe im Werk dargestellt und machen es hierdurch zu einem grundlegenden Kompendium für Theorie und Praxis.“ Dr. Claudia Conen, Hauptgeschäftsführerin Bundesverband Deutscher Leasing-Unternehmen e.V. „Herr Dr. Glaser schafft es wieder einmal absolut fundiert, leicht verständlich und flüssig im Stil, sein umfangreiches theoretisch-akademisches Know-how mit seinem ergänzenden, langjährigen Praxiswissen zu verbinden. Es ist die nahezu perfekte Symbiose denkbarer Kennzahlen aus Theorie, spezifischer Regulatorik und der vielfältigen Praxis.“ Guido Feldhaus, Geschäftsführer SüdLeasing GmbH „Christian Glaser präsentiert hier das 1x1 der Kennzahlen zur Steuerung. Das Standardwerk liefert geballtes Wissen für Praktiker, aber auch Gründer und Investoren – klar, detailreich und trotzdem kompakt.“ Antje Leminsky, Vorstandsvorsitzende GRENKE AG Der Autor Christian Glaser ist promovierter Risikomanager und Generalbevollmächtigter einer namhaften Leasinggesellschaft.
    URL: Cover
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