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  • Fabozzi, Frank J  (10)
  • Hoboken, N.J. : J. Wiley & Sons  (10)
  • Electronic books ; local  (10)
  • Information technology ; Management
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  • 1
    ISBN: 9781118421499 , 1118421493
    Sprache: Englisch
    Seiten: 1 online resource (1 v.) , ill.
    Serie: The Frank J. Fabozzi series
    Paralleltitel: Erscheint auch als
    Schlagwort(e): Finance ; Mathematical models ; Asset-liability management ; Mathematical models ; Risk management ; Mathematical models ; Electronic books ; Electronic books ; local
    Kurzfassung: The mathematical and statistical tools needed in the rapidly growing quantitative finance field With the rapid growth in quantitative finance, practitioners must achieve a high level of proficiency in math and statistics. Mathematical Methods and Statistical Tools for Finance , part of the Frank J. Fabozzi Series, has been created with this in mind. Designed to provide the tools needed to apply finance theory to real world financial markets, this book offers a wealth of insights and guidance in practical applications. It contains applications that are broader in scope from what is covered in a typical book on mathematical techniques. Most books focus almost exclusively on derivatives pricing, the applications in this book cover not only derivatives and asset pricing but also risk management-including credit risk management-and portfolio management. Includes an overview of the essential math and statistical skills required to succeed in quantitative finance Offers the basic mathematical concepts that apply to the field of quantitative finance, from sets and distances to functions and variables The book also includes information on calculus, matrix algebra, differential equations, stochastic integrals, and much more Written by Sergio Focardi, one of the world's leading authors in high-level finance Drawing on the author's perspectives as a practitioner and academic, each chapter of this book offers a solid foundation in the mathematical tools and techniques need to succeed in today's dynamic world of finance.
    Anmerkung: Includes bibliographical references and index. - Description based on print version record
    Bibliothek Standort Signatur Band/Heft/Jahr Verfügbarkeit
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  • 2
    Online-Ressource
    Online-Ressource
    Hoboken, N.J. : J. Wiley & Sons
    Sprache: Englisch
    Seiten: 1 online resource (xxvi, 550 p.) , ill.
    Serie: The Frank J. Fabozzi series
    Paralleltitel: Erscheint auch als
    Schlagwort(e): Corporations ; Valuation ; Portfolio management ; Electronic books ; Electronic books ; local
    Kurzfassung: A detailed look at equity valuation and portfolio management Equity valuation is a method of valuing stock prices using fundamental analysis to determine the worth of the business and discover investment opportunities. In Equity Valuation and Portfolio Management Frank J. Fabozzi and Harry M. Markowitz explain the process of equity valuation, provide the necessary mathematical background, and discuss classic and new portfolio strategies for investment managers. Divided into two comprehensive parts, this reliable resource focuses on valuation and portfolio strategies related to equities. Discusses both fundamental and new techniques for valuation and strategies Fabozzi and Markowitz are experts in the fields of investment management and economics Includes end of chapter bullet point summaries, key chapter take-aways, and study questions Filled with in-depth insights and practical advice, Equity Valuation and Portfolio Management will put you in a better position to excel at this challenging endeavor. The ebook version does not provide access to the companion files.
    Anmerkung: Includes bibliographical references and index. - Description based on print version record
    Bibliothek Standort Signatur Band/Heft/Jahr Verfügbarkeit
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  • 3
    Sprache: Englisch
    Seiten: 1 online resource (xvi, 336 p.) , ill.
    Ausgabe: 2nd ed.
    Serie: The Frank J. Fabozzi series
    Paralleltitel: Erscheint auch als
    Schlagwort(e): Mortgage-backed securities ; Electronic books ; Electronic books ; local
    Kurzfassung: An up-to-date look at the latest innovations in mortgage-backed securities Since the last edition of Mortgage-Backed Securities was published over three years ago, much has changed in the structured credit market. Frank Fabozzi, Anand Bhattacharya, and William Berliner all have many years of experience working in the fixed-income securitization markets, and have witnessed many cycles of change in the mortgage and MBS sectors. And now, with the Second Edition of Mortgage-Backed Securities, they share their knowledge on many of the products and structuring innovations that have taken place since the financial crisis and fiscal reform. Written in a straightforward and accessible style, and containing numerous illustrations, this timely guide skillfully addresses the investment characteristics, creation, and analysis of mortgage-backed securities. Each chapter contains cutting-edge concepts that you'll need to understand in order to thrive within this arena. Discusses the dynamic interaction between the mortgage industry, home prices, and credit performance Addresses revised valuation techniques in which all non-agency MBS must be treated as credit pieces Examines the shift in this marketplace since the crisis and the impact on industry and investors Filled with in-depth insights and expert advice, Mortgage-Backed Securities, Second Edition offers you a realistic assessment of this field and outlines the products, structures, and analytical techniques you need to know about in this evolving arena.
    Anmerkung: Includes bibliographical references and index. - Description based on print version record
    Bibliothek Standort Signatur Band/Heft/Jahr Verfügbarkeit
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  • 4
    Sprache: Englisch
    Seiten: 1 online resource (xv, 479 p.) , ill.
    Ausgabe: 2nd ed.
    Serie: The Frank J. Fabozzi series
    Paralleltitel: Erscheint auch als
    Schlagwort(e): Fixed-income securities ; Fixed-income securities ; Mathematics ; Rate of return ; Risk management ; Electronic books ; Electronic books ; local
    Kurzfassung: A comprehensive introduction to the key concepts of fixed income analytics The First Edition of Introduction to Fixed Income Analytics skillfully covered the fundamentals of this discipline and was the first book to feature Bloomberg screens in examples and illustrations. Since publication over eight years ago, the markets have experienced cathartic change. That's why authors Frank Fabozzi and Steven Mann have returned with a fully updated Second Edition. This reliable resource reflects current economic conditions, and offers additional chapters on relative value analysis, value-at-risk measures and information on instruments like TIPS (treasury inflation protected securities). Offers insights into value-at-risk, relative value measures, convertible bond analysis, and much more Includes updated charts and descriptions using Bloomberg screens Covers important analytical concepts used by portfolio managers
    Anmerkung: Includes bibliographical references and index. - Description based on print version record
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  • 5
    Sprache: Englisch
    Seiten: 1 online resource (xvii, 811 p.) , ill.
    Serie: The Frank J. Fabozzi Series
    Paralleltitel: Erscheint auch als
    Schlagwort(e): Finance ; Investments ; Business enterprises ; Finance ; Corporations ; Finance ; Electronic books ; Electronic books ; local
    Kurzfassung: Created by the experienced author team of Frank Fabozzi and Pamela Peterson Drake, Finance examines the essential elements of this discipline and makes them accessible to a wide array of readers-from seasoned veterans looking for a review to newcomers needing to get their footing in finance. Divided into four comprehensive parts, this reliable resource opens with a detailed discussion of the basic tools of investing and financing decision-making-financial mathematics and financial analysis. After this informative introduction, you'll quickly become familiar with the three primary areas of finance-capital markets (Part II), financial management (Part III), and investment/asset management (Part IV)?-and discover how these different areas are interconnected. Finance is a well-rounded guide to this dynamic field. The straightforward insights found here will put you in a better position to understand what the principles of modern finance are and how they can be used to make the right decisions when managing risk and return in today's complex financial environment.
    Anmerkung: Includes bibliographical references and index. - Description based on print version record
    URL: Cover
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  • 6
    Sprache: Englisch
    Seiten: 1 online resource (xvi, 352 p.) , ill., facsims.
    Serie: The Frank J. Fabozzi series
    Paralleltitel: Erscheint auch als
    Schlagwort(e): Financial leverage ; Securities ; Electronic books ; Electronic books ; local
    Kurzfassung: A timely guide to today's high-yield corporate debt markets Leveraged Finance is a comprehensive guide to the instruments and markets that finance much of corporate America. Presented in five sections, this experienced author team covers topics ranging from the basics of bonds and loans to more advanced topics such as valuing CDs, default correlations among CLOs, and hedging strategies across corporate capital structures. Additional topics covered include basic corporate credit, relative value analysis, and various trading strategies used by investors, such as hedging credit risk with the equity derivatives of a different company. Stephen Antczak, Douglas Lucas, and Frank Fabozzi present readers with real-market examples of how investors can identify investment opportunities and how to express their views on the market or specific companies through trading strategies, and examine various underlying assets including loans, corporate bonds, and much more. They also offer readers an overview of synthetic and structured products such as CDS, LCDS, CDX, LCDX, and CLOs. Leveraged Finance has the information you need to succeed in this evolving financial arena.
    Anmerkung: Includes bibliographical references and index. - Description based on print version record
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  • 7
    Online-Ressource
    Online-Ressource
    Hoboken, N.J. : J. Wiley & Sons
    Sprache: Englisch
    Seiten: 1 online resource (xvii, 366 p.) , ill.
    Serie: The Frank J. Fabozzi series
    Paralleltitel: Erscheint auch als
    Schlagwort(e): Asset-backed financing ; Securities ; Electronic books ; Electronic books ; local
    Kurzfassung: Introduction to Securitization outlines the basics of securitization, addressing applications for this technology to mortgages, collateralized debt obligations, future flows, credit cards, and auto loans. The authors present a comprehensive overview of the topic based on the experience they have gathered through years of interaction with practitioners and graduate students around the world. The authors offer coverage of such key topics as: structuring agency MBS deals and nonagency deals, credit enhancements and sizing, using interest rate derivatives in securitization transactions, asset classes securitized, operational risk factors, implications for financial markets, and applying securitization technology to CDOs. Finally, in the appendices, the authors provide an essential introduction to credit derivatives, an explanation of the methodology for the valuation of MBS/ABS, and the estimation of interest rate risk. Securitization is a financial technique that pools assets together and, in effect, turns them into a tradable security. The end result of a securitization transaction is that a corporation can obtain proceeds by selling assets and not borrowing funds. In real life, many securitization structures are quite complex and enigmatic for practitioners, investors, and finance students. Typically, books detailing this topic are either too lengthy, too technical, or too superficial in their presentation. Introduction to Securitization is the first to offer essential information on this topic at a fundamental, yet comprehensive level-providing readers with a working understanding of what has become one of today's most important areas of finance. Authors Frank Fabozzi and Vinod Kothari, internationally recognized experts in the field, clearly define securitization, contrast it with corporate finance, and explain its advantages. They carefully illustrate the structuring of asset-backed securities (ABS) transactions, including agency mortgage-backed securities (MBS) deals and nonagency deals, and show the use of credit enhancements and interest rate derivatives in such transactions. They review the collateral classes in ABS, such as retail loans, credit cards, and future flows, and discuss ongoing funding vehicles such as asset-backed commercial paper conduits and other structured vehicles. And they explain the different types of collateralized debt obligations (CDOs) and structured credit, detailing their structuring and analysis. To complement...
    Anmerkung: Includes bibliographical references (p. 343-347) and index. - Description based on print version record
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  • 8
    Online-Ressource
    Online-Ressource
    Hoboken, N.J. : J. Wiley & Sons | Boston, Mass. :Safari Books Online,
    ISBN: 9780470099261 , 0470099267
    Sprache: Englisch
    Seiten: xix, 841 p , ill. , 24 cm
    Schlagwort(e): Chief financial officers ; Handbooks, manuals, etc ; Corporations ; United States ; Finance ; Handbooks, manuals, etc ; Electronic books ; local
    Kurzfassung: Cost Accounting: Concepts and Applications for Managerial Decision Making provides comprehensive coverage of cost accounting, from product costing to capital budgeting.
    Anmerkung: Includes bibliographical references and index
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  • 9
    Online-Ressource
    Online-Ressource
    Hoboken, N.J. : J. Wiley & Sons
    Sprache: Englisch
    Seiten: 1 online resource (xliv, 1332 p.) , ill., maps, facsims.
    Serie: Frank J. Fabozzi series
    Paralleltitel: Erscheint auch als
    Schlagwort(e): Municipal bonds ; Handbooks, manuals, etc ; Finance, Public ; Handbooks, manuals, etc ; Electronic books ; Electronic books ; local
    Kurzfassung: In The Handbook of Municipal Bonds , editors Sylvan Feldstein and Frank Fabozzi provide traders, bankers, and advisors-among other industry participants-with a well-rounded look at the industry of tax-exempt municipal bonds. Chapter by chapter, a diverse group of experienced contributors provide detailed explanations and a variety of relevant examples that illuminate essential elements of this area. With this book as your guide, you'll quickly become familiar with both buy side and sell side issues as well as important innovations in this field.
    Anmerkung: "About the editors: Sylvan G. Feldstein ... Frank J. Fabozzi"--P. xxxix. - Includes bibliographical references and index. - Description based on print version record
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  • 10
    Sprache: Englisch
    Seiten: 1 online resource (xix, 300 p.) , ill.
    Serie: The Frank J. Fabozzi series
    Paralleltitel: Erscheint auch als
    Schlagwort(e): Bank management ; Operational risk ; Risk management ; Electronic books ; Electronic books ; local
    Kurzfassung: While operational risk has long been regarded as a mere part of "other" risks--outside the realm of credit and market risk--it has quickly made its way to the forefront of finance. In fact, with implementation of the Basel II Capital Accord already underway, many financial professionals--as well as those preparing to enter this field--must now become familiar with a variety of issues related to operational risk modeling and management. Written by the experienced team of Anna Chernobai, Svetlozar Rachev, and Frank Fabozzi, Operational Risk will introduce you to the key concepts associated with this discipline. Filled with in-depth insights, expert advice, and innovative research, this comprehensive guide not only presents you with an abundant amount of information regarding operational risk, but it also walks you through a wide array of examples that will solidify your understanding of the issues discussed. Topics covered include: The main challenges that exist in modeling operational risk. The variety of approaches used to model operational losses. Value-at-Risk and its role in quantifying and managing operational risk. The three pillars of the Basel II Capital Accord. And much more.
    Anmerkung: Includes bibliographical references and index. - Description based on print version record
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