Đang hiển thị mục 1-6 trong tổng 6

    • Accounting for financial instruments : a guide to valuation and risk management 

      Camilleri, Emanuel; Camilleri, Roxanne (Routledge, 2017)
      This book is about the accounting and regulatory framework associated with the acquisition and disposal of financial instruments; how to determine their value; how to manage the risk connected with them; and ultimately ...
    • Bank funding, financial instruments and decision-making in the banking industry 

      Carbo Valverde, Santiago (editor); Solas, Pedro Jesús Cuadros (editor); Fernández, Francisco Rodríguez (editor) (Palgrave Macmillan, 2016)
      This book provides insight into current research topics in finance and banking in the aftermath of the financial crisis. Expert authors authoritatively analyse how banks finance their activities and resolve funding issues. ...
    • Capital markets, derivatives, and the law : positivity and preparation 

      Rechtschaffen, Alan N. (Oxford University Press, 2019)
      This book investigates the impact of the financial crisis on capital markets and regulation. With an emphasis on the structure and the workings of financial instruments, it considers market evolution after the crisis and ...
    • Financial institutions instruments and markets 

      Viney, Christopher (McGraw-Hill, 2007)
      Provides coverage on industry developments in banking and capital adequacy regulations. This book uses examples which are relevant and assists students in relating to real-world scenarios. It includes reflection points ...
    • Financial institutions, instruments & markets 

      Viney, Christopher; Phillips, Peter (McGraw-Hill, 2019)
      This book continues to be one of the market leaders in financial institutions management. With a well-respected author team at the helm it is a comprehensive resource for all students wanting to learn about the modern ...
    • Financial institutions, instruments and markets 

      Viney, Christopher; Phillips, Peter (McGraw-Hill, 2015)
      The new edition includes changes to important market items, updated discussions of the GFC, Murray report, Basel II and III, updated and expanded treatment of futures, derivatives markets and regulatory reforms, as well ...