Provides an overview of the evolution of investment and risk, together with a synthesis of research on these developments. ...
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ARCH (autoregressive conditionally heteroscedastic), is well-suited for the description of economic and financial price. ...
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This study empirically explores and quantifies the effects of EU accession on the risk and return of equity markets in eight ...
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Significant, and usually unwelcome, surprises, such as floods, financial crisis, epileptic seizures, or material rupture, ...
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Portfolio analysis and optimization, together with the associated risk assessment and management, require knowledge of the ...
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Portfolio analysis and optimization, together with the associated risk assessment and management, require knowledge of the ...
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This book seeks to foster a multidisciplinary understanding of the ties between faith, financial intermediation, and economic ...
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The first is Bitcoin that infamously pursues a state-independent, decentralized conception of money. The second is Finance ...
Lire la suiteThis book reflects the current state of discussion about agricultural and rural finance in developing and transition countries. ...
Lire la suiteHelps its readers better analyze M&A transactions using information provided in financial statements. Covering accounting ...
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Provides an introduction to the fundamentals of operational and strategic controlling. It conveys the central tasks and functions ...
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This book discusses financial crisis management and policy in Europe and Latin America, with a special focus on equity and ...
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Constitutes the post-proceedings of the 5th International Conference on Financial Cryptography held in the British West Indies ...
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This book cover all aspects of securing transactions and systems, which this year included a range of technical areas such ...
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This book cover all aspects of securing transactions and systems, which this year included a range of technical areas such ...
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This book constitutes the thoroughly refereed post-proceedings of the 10th International Conference on Financial Cryptography ...
Lire la suiteCovers financial data and univariate models; asset returns; interest rates, yields and spreads; volatility and correlation; ...
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This book provides an integrative perspective on financial management and corporate governance deployed in management decisions. ...
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Public sector managers are confronted daily with targets and demands that are often set in confusing accounting and financial ...
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Develops the financial intelligence you need to communicate effectively with investors, implement business strategies and ...
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