This study aimed to find a model consisting of a set of financial ratios in which each ratio has its own weight that indicate ...
Lire la suiteThis book addresses action research (AR), one of the main research methodologies used for academia-industry research collaborations. ...
Lire la suiteThis book provides an investor-friendly presentation of the premises and applications of the quantitative finance models ...
Lire la suiteThis book presents a unique collection of practical examples from the field of pharma business management and research. ...
Lire la suiteAsset Allocation and Private Markets provides institutional investors, such as pension funds, insurance groups and family ...
Lire la suiteThe book studies the interaction of the financial market, economic activity and the macroeconomy from a dynamic perspective. ...
Lire la suiteDesigned for investors who are serious about maximizing their gains, in this book you’ll discover how to: ● Take control ...
Lire la suiteThis book presents a set of basic techniques for estimating the benefit of IT development projects and portfolios. It also ...
Lire la suiteNot everything that counts can be counted. Not everything that is counted counts. Albert Einstein This is a book about software ...
Lire la suiteThis book presents how cutting-edge digital technologies like Machine Learning, Artificial Intelligence (AI), and Blockchain ...
Lire la suite1 The tools of modern portfolio theory are in general use in the equity markets, either in the form of portfolio optimization ...
Lire la suiteThis book covers the first steps of using Spring while discussing the relevant technologies that Spring can be integrated ...
Lire la suiteTells the Tesla story and then presents chapters that address, in order: corporate governance and project stakeholder or ...
Lire la suiteCatastrophe Modeling: A New Approach to Managing Risk is the first book that systematically analyzes how catastrophe models ...
Lire la suiteThe focus of this book is the development of computational methods and analytical models in financial engineering that rely ...
Lire la suiteDerivatives is the definitive guide to derivatives and derivative markets. Written by experts working with CFA Institute, ...
Lire la suiteIn DevOps for Digital Leaders, deep collective experience on both sides of the dev–ops divide informs the global thought ...
Lire la suiteDYNAMIC ASSET ALLOCATION WITH FORWARD AND FUTURES is an advanced text on the theory of forward and futures markets which ...
Lire la suiteTeaches statistical analyses and research methods utilizing business case studies and financial data, with the applications ...
Lire la suiteProvides an overview of the evolution of investment and risk, together with a synthesis of research on these developments. ...
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