Asset Management Standards (Finance and Capital Markets)
by O. Loistl and Robert Petrag
Asset management Standards discussion's main focus on governance issues matches the established structural components of the Asset Management Standard's systematic classification. Numerous innovations called for a nearly complete revision. This new edition offers again a reliable source of information on the major issues in asset management.
Parimutuel Applications In Finance (Finance and Capital Markets)
by Ken Baron and Jeffrey Lange
Financial intermediaries typically offer derivatives to their customers only when they can hedge the exposures from these transactions. Baron and Lange show that parimutuel auctions can be used by financial intermediaries to offer derivatives without exposing themselves to risk.
Country-Risk Rating of Overseas Investment from China
by Zhang Ming and Wang Bijun
China is currently one of the most important players in the global investment scene. However, with the rapid growth of overseas investment, there is also sharp increase of the investment risks. Their country-risk rating system constructs five indicators, including economic fundamentals, ability to service debt, social flexibility, political risk and the relation with China, to provide warning and reference for Chinese enterprises and sovereign wealth funds. This year’s rating system expands to f...
Corporate Finance And Strategy: An Active Learning Approach
by John C Lee, Cheng-few Lee, and Michael Lee
Corporate finance is concerned with how to make capital investment decisions (capital budgeting); how to finance company activities, including new investments; and how to make dividend payment decisions. This book will lecture on important topics for corporate finance, which will cover methods, theory, and policy decisions. The topics which will be addressed in this book include how streams of cash flows are valued, how financial managers evaluate investment opportunities, how financial statemen...
Economic Foundations Of Risk Management, The: Theory, Practice, And Applications
by Robert A Jarrow
'The book is an ideal complement to existing monographs on financial risk management. The reader will benefit from a standard background in no-arbitrage pricing. A tour of risk types and risk management principles is presented in a terse, no-fuss manner. Plenty of pointers to additional literature are given, allowing the interested reader to go deeper into any of the topics presented.'Newsletter of the Bachelier Finance Society The Economic Foundations of Risk Management presents the theory, the...
Financial Markets In Practice: From Post-crisis Intermediation To Fintechs
by Charles-Albert Lehalle and Amine Raboun
Financial Markets in Practice: From Post-Crisis Intermediation to FinTechs delivers an overview of the development of risk-transformation undertaken by the financial services industry from the perspective of quantitative finance. It provides an instructional and comprehensive explanation of the structure of the financial system as a network of risk suppliers and risk consumers, where different categories of market participants buy, transform, net, and re-sell different kinds of risks. This risk-...
Risk Management and Financial Derivatives (Finance and Capital Markets)
Modern financial management entails an appreciation of a number of key mathematical concepts. This is particularly relevant to risk and risk management products, such as derivatives. The central role played by these products in capital markets is forcing an ever broader range of personnel to be aware of and utilise these concepts either from a supervisory perspective or in their day-to-day activities. This book explains the mathematical basis of risk and derivatives in a non-technical manner to...
This book provides a quantitative overview of corporate risk management for both financial and non-financial organisations. It systematically explores a range of important risks, including interest rate risk, equity risk, commodity price risk, credit risk management, counterparty risk, operational risk, liquidity risk, market risk, derivative credit risk and country risk. Chapters also provide comprehensive and accessible analysis of risk-related phenomena and the corporate strategies empl...
PCI DSS is now in its 18th year and it is continuing to dominate corporate security budgets and resources. If you accept, process, transmit, or store payment card data branded by Visa, MasterCard, American Express, Discover, or JCB (or their affiliates and partners), you must comply with this lengthy standard.Personal data theft is at the top of the list of likely cybercrimes that modern day corporations must defend against. In particular, credit or debit card data is preferred by cybercriminals...
Financial Report of the United States Government, FY 2016
This annual financial report of the U.S. Government provides to the public a comprehensive overview of the Government's current financial position, as well as critical insight into our long term fiscal outlook. The Fiscal Year 2016 Financial Report, the final U.S. Financial Report of the Obama Administration, reflects an economy that has come a long way since 2008, with sustained private sector growth and increasing vitality. This illustrated guide, contains numerous graphs, charts, and tables...
The Five Conversations You Need to Have About Money
by Vanessa Stoykov and Kathy Skantzos
The Best Finance Book For Crucial Conversations About Money“Vanessa is a natural storyteller. Strong. Relatable. Purpose driven”—Business in Heels For anyone who wants to create a financial legacy, this is the best finance book for sparking change in yours and your family’s financial future. Share eye opening money moments and courageous conversations about money. Have real conversations about money. Do your parents have a legacy plan or financial retirement plan? Is your family managing mone...