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What is Financial Mathematics?
What is Financial Mathematics? Introduction • Financial Mathematics is a collection of mathematical techniques that find applications in finance, e.g. – Asset pricing: derivative securities. – Hedging and risk management – Portfolio optimization – Structured products • There are two main approaches: – Partial Differential Equations – Probability and Stochastic Processes Short History of Financial Mathematics • 1900:...
52 p itc 20/01/2013 361 2
Từ khóa: financial mathematics, asset pricing, derivative securities, risk management, time value of money, financial securities
The Asset Management Industry in 2010
When viewed from 30,000 feet,the pace of change in the asset managementbusiness can appear almost glacial. Year after year,it seems,the industryturns out enviable,solid performance – indeed,our research shows that over-all profit margins have held remarkably stable over the past market cycle,justshy of the 30 percent mark. And while their relative positions may shift mod-estly,the same roster of familiar names tends to resurface time and...
42 p itc 08/01/2013 308 2
Từ khóa: asset management, the asset management industry in 2010, past market, quản lý tài sản, quản lý tài sản ngành công nghiệp, quản lý tài sản ngành công nghiệp năm 2010
Portfolio Theory and Performance Analysis
For many years asset management was considered to be a marginal activity, but today, it is central to the development of financial industry throughout the world. Asset management′s transition from an "art and craft" to an industry has inevitably called integrated business models into question, favouring specialisation strategies based on cost optimisation and learning curve objectives. This book connects each of these major categories of...
283 p itc 08/01/2013 336 1
Từ khóa: investments securities, performance analysis, portfolio theory and performance analysis, asset management, financial industry, business models, quản lý tài sản
While mainstream financial theories and applications assume that asset returns are normally distributed, overwhelming empirical evidence shows otherwise. Yet many professionals don’t appreciate the highly statistical models that take this empirical evidence into consideration. Fat-Tailed and Skewed Asset Return Distributions examines this dilemma and offers readers a less technical look at how portfolio selection, risk management, and option...
385 p itc 08/01/2013 306 1
Từ khóa: investing finance, skewed asset return distributions, implications for risk management, implications for portfolio selection, implications for option pricing, quản lý tài chính
Asset Securitization Comptroller’s Handbook
Asset securitization is helping to shape the future of traditional commercial banking. By using the securities markets to fund portions of the loan portfolio, banks can allocate capital more efficiently, access diverse and cost-effective funding sources, and better manage business risks. But securitization markets offer challenges as well as opportunity. Indeed, the successes of nonbank securitizers are forcing banks to adopt some of their...
92 p itc 08/01/2013 332 2
Từ khóa: asset securitization, currency administrator, liquidity and funds management, process management risks, tài chính ngân hàng, quản lý rủi ro
The aim of this book is to study three essential components of modern finance – Risk Management, Asset Management and Asset and Liability Management, as well as the links that bind them together. It is divided into five parts: Part I sets out the financial and regulatory contexts that explain the rapid development of these three areas during the last few years and shows the ways in which the Risk Management function has developed recently...
416 p itc 08/01/2013 339 2
Từ khóa: financial and regulatory contexts, asset and risk management, underlying theories of asset management, risk management, asset management and risk management, quản lý tài sản và quản lý rủi ro
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