Libros de Economía > Mercados financieros

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Mostrando 2528 libros encontrados. (127 páginas)

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Legal risk management, governance and compliance
a guide to best practice from leading experts

Por: Weinstein, Stuart; Wild, Charles;

Legal risk management, governance and compliance
NOVEDAD!!

[ Sin Stock. Envío en 2/3 semanas. ]

2013 Globe Law and Bussiness

In today's globalised business environment, companies face a complex assortment of new and often contradictory laws and regulations. High-profile corporate scandals involving compliance failures teach us that loss of reputation can have a significant ...

pvp.154.63 €



Business valuation of small and medium-sized companies
due diligence and valuation techniques

Por: Tiest, Roger;

Business valuation of small and medium-sized companies
NOVEDAD!!

[ Sin Stock. Envío en 2/3 semanas. ]

2013 Intersentia Ltd.

Numerous books have been written on business valuation; however this book is different. Each valuation requires an in depth due diligence to collect all the relevant elements. Finally a book that presents the reader an ...

pvp.144.72 €



Advanced credit risk
analysis and management

Por: Joseph, Ciby;

Advanced credit risk
NOVEDAD!!

[ Sin Stock. Envío en 3/4 semanas. ]

2013 John Wiley & Sons, Inc.

Credit is essential in the modern world and creates wealth, provided it is used wisely. The Global Credit Crisis during 2008/2009 has shown that sound understanding of underlying credit risk is crucial. If credit ...

pvp.80.22 €



Financial accounting for dummies

Por: Collings, Steven; Loughran, Marie;

Financial accounting for dummies
NOVEDAD!!

[ Sin Stock. Envío en 3/4 semanas. ]

2013 John Wiley & Sons, Inc.

Your plain--English guide to financial accounting for students and trainees. Financial Accounting For Dummies provides students who are studying finance, accounting and business with the basic concepts, terminology, and methods to interpret, analyse, prepare and ...

pvp.27.77 €



The public debt problem
a comprehensive guide

Por: Lemieux, Pierre;

The public debt problem
NOVEDAD!!

[ Stock en librerías. Envío en 24/48 horas ]

2013 Palgrave MacMillan

The European public debt problem was in the making long before the 2007-2009 recession, as budget deficits had become endemic. A similar crisis is now developing in America, where the same fundamental causes have been ...

pvp.27.56 €



How to be an investment banker
recruiting, interviewing, and landing the job

Por: Gutmann, Andrew;

How to be an investment banker
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2013 John Wiley & Sons, Inc.

A top-notch resource for anyone who wants to break into the demanding world of investment banking For undergraduates and MBA students, this book offers the perfect preparation for the demanding and rigorous investment banking recruitment ...

pvp.66.84 €



La gestión del riesgo en empresas industriales

Por: Población García, Francisco Javier;

La gestión del riesgo en empresas industriales
NOVEDAD!!

[ Stock en librerías. Envío en 24/48 horas ]

2013 Delta Publicaciones

Este libro pretender llenar un vacío que existe actualmente en la literatura económica y financiera en el sentido de que el mercado ofrece, por un lado, muchos libros de finanzas que presentan modelos de la ...

pvp.24.00 €



Fixed income relative value analysis
a practitioners guide to the theory, tools, and trades

Por: Huggins, Doug; Schaller, Christian;

Fixed income relative value analysis
NOVEDAD!!

[ Sin Stock. Envío en 3/4 semanas. ]

2013 Bloomberg Press

As western governments issue increasing amounts of debt, the fixed income markets have never been more important. Yet the methods for analyzing these markets have failed to keep pace with recent developments, including the deterioration ...

pvp.80.22 €



What I learned losing a million dollars

Por: Paul, Jim; Moynihan, Brendan;

What I learned losing a million dollars

[ Sin Stock. Envío en 3/4 semanas. ]

2013 Columbia University Press

Jim Paul's meteoric rise took him from a small town in Northern Kentucky to governor of the Chicago Mercantile Exchange, yet he lost it all -- his fortune, his reputation, and his job -- in one ...

pvp.26.67 €



Project financing
asset-based financial engineering

Por: Finnerty, John D.;

Project financing

[ Sin Stock. Envío en 3/4 semanas. ]

2013 John Wiley & Sons, Inc.

A timely update to one of the most well-received books on project financing As an effective alternative to conventional direct financing, project financing has become one of the hottest topics in corporate finance. It's ...

pvp.98.04 €



European capital markets Law

Por: Veil, Rüdiger;

European capital markets Law

[ Sin Stock. Envío en 2/3 semanas. ]

2013 Hart Publishing

European capital markets law has developed rapidly in recent years, in the form of four framework directives and numerous implementing directives aimed at improving the integrity and functioning of capital markets. The financial crisis has ...

pvp.69.87 €



The coming bond market collapse
how to survive the demise of the U.S. debt market

Por: Pento, Michael G.;

The coming bond market collapse

[ Sin Stock. Envío en 3/4 semanas. ]

2013 John Wiley & Sons, Inc.

The coming financial apocalypse and what government and individuals can do to insulate themselves against the worst shocks In this controversial book a noted adherent of Austrian School of Economics theories advances the thesis that ...

pvp.27.77 €



La gestión del riesgo operacional
de la teoría a su aplicación

Por: Fernández-Laviada, Ana;

La gestión del riesgo operacional

[ Stock en Almacén ]

2007 Universidad de Cantabria

Expone, en forma progresiva, los aspectos fundamentales para afrontar una adecuada gestión del riesgo operacional, recogiendo la experiencia de profesionales del sector financiero, pioneros y expertos en este área a la que se une la ...

pvp.58.00 €



Finance and the good society

Por: Shiller, Robert J.;

Finance and the good society

[ Stock en librerías. Envío en 24/48 horas ]

2013 Princeton University Press

The reputation of the financial industry could hardly be worse than it is today in the painful aftermath of the 2008 financial crisis. New York Times best-selling economist Robert Shiller is no apologist for the ...

pvp.19.05 €



Mastering illiquidity
risk management for portfolios of limited partnership funds

Mastering illiquidity

[ Sin Stock. Envío en 2/3 semanas. ]

2013 John Wiley & Sons, Inc.

Arms investors with powerful new tools for measuring and managing the risks associated with the various illiquid asset classes. With risk-free interest rates and risk premiums at record lows, many investors are turning to illiquid ...

pvp.66.84 €



An introduction to global financial markets

Por: Valdez, Stephen; Molyneux, Philip;

An introduction to global financial markets

[ Sin Stock. Envío en 2/3 semanas. ]

2013 Palgrave MacMillan

An Introduction to Global Financial Markets describes the financial sector in clear, easy to understand terms, providing a broad and balanced introduction to financial markets across the world. In the constantly fluctuating state of modern ...

pvp.43.67 €



International finance

Por: Pilbeam, Keith;

International finance

[ Sin Stock. Envío en 2/3 semanas. ]

2013 Palgrave MacMillan

The international monetary system is characterized by vast numbers of daily transactions involving huge sums of money. In an increasingly globalized world economy, these trades can have enormous repercussions on economies and can occasionally cause ...

pvp.65.52 €



Hedge fund structure, regulation, and performance around the world

Por: Cumming, Douglas J.; Dai, Na; Johan, Sofia A.;

Hedge fund structure, regulation, and performance around the world

[ Stock en librerías. Envío en 24/48 horas ]

2013 Oxford University Press

Hedge funds and their managers have been vilified in recent times for their high-risk activities and relative lack of regulatory oversight. A recurrent concern shared by market participants and regulators around the world is that ...

pvp.46.23 €



Bubble value at risk
a countercyclical risk management approach

Por: Wong, Max C. Y. ;

Bubble value at risk

[ Sin Stock. Envío en 2/3 semanas. ]

2013 John Wiley & Sons, Inc.

Introduces a powerful new approach to financial risk modeling with proven strategies for its real-world applications The 2008 credit crisis did much to debunk the much touted powers of Value at Risk (VaR) as a ...

pvp.80.22 €



Investment risk and uncertainty
advanced risk awareness techniques for the intelligent investor

Por: Greiner, Steven P.;

Investment risk and uncertainty

[ Sin Stock. Envío en 2/3 semanas. ]

2013 John Wiley & Sons, Inc.

Valuable insights on the major methods used in today's asset and risk management arena Risk management has moved to the forefront of asset management since the credit crisis. However, most coverage of this subject ...

pvp.98.04 €




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