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An Introduction to the Bond Markets
This book gives an introduction to the bond markets for practitioners and new entrants who need to understand what they are, how they work and how they can be used, but do not want to be intimidated by mathematical formulae. By the end of the book readers will be able to decide whether to invest in the bond market. The mathematical formulae will be relegated to the appendices and supplemented by a companion website which allows users to enter...
245 p itc 08/01/2013 335 1
Từ khóa: bond markets, thị trường trái phiếu, introduction to the bond markets, investments securities, finance economics, investing bonds, thị trường cổ phiếu
A Multifractal Model of Asset Returns
The probabilistic description of financial prices, pioneered by Bachelier (1900), initially focused onindependent and Gaussian distributed price changes. Financial economists have long recognizedtwo major discrepancies between the Bachelier model and actual financial data. First, financialdata commonly display temporal dependence in the alternation of periods of large price changeswith periods of smaller changes. Secondly, the tails of the...
33 p itc 08/01/2013 289 1
Từ khóa: multifractal model, absolute value of price increments, a multifractal model of asset returns, khai tài sản, economic and financial
Monte Carlo Simulation and Finance
Monte Carlo methods have been used for decades in physics, engineering, statistics, and other fields. Monte Carlo Simulation and Finance explains the nuts and bolts of this essential technique used to value derivatives and other securities. Author and educator Don McLeish examines this fundamental process, and discusses important issues, including specialized problems in finance that Monte Carlo and Quasi-Monte Carlo methods can help solve and...
398 p itc 07/01/2013 331 1
Từ khóa: investing finance, popular economics, monte carlo simulation and finance, thị trường tài chính, kinh tế tài chính, value derivatives and other securities
Valuation: Measuring and Managing the Value of Companies, University Edition
Designed for classroom use, Valuation, University Edition Fifth Edition is filled with the expert guidance from McKinsey & Company that students and professors have come to trust. Fully Revised and Updated, NEW FEATURES to the Fifth Edition include: ALL NEW CASE STUDIES that illustrate how valuation techniques and principles are applied in real-world situations NEW CONTENT on the strategic advantages of value-based management EXPANDED to...
862 p itc 07/01/2013 295 1
Từ khóa: finance economics, valuation, measuring the value of companies, managing the value of companies, đo lường giá trị của công ty, quản lý giá trị của công ty, Finance
Mathematical Economics and Finance
In recent years, mathematics graduates have been increasingly expected to have additional skills in practical subjects such as economics and finance, while eco- nomics graduates have been expected to have an increasingly strong grounding in mathematics. The increasing need for those working in economics and finance to have a strong grounding in mathematics has been highlighted by such layman’s guides as ?, ?, ? (adapted from ?) and ?. In...
153 p itc 07/01/2013 252 1
Từ khóa: economics and finance, mathematics, Mathematical Economics and Finance, toán học, kinh tế và tài chính, toán học kinh tế và tài chính
Introductory Econometrics for Finance
This best-selling textbook addresses the need for an introduction to econometrics specifically written for finance students. Key features: • Thoroughly revised and updated, including two new chapters on panel data and limited dependent variable models • Problem-solving approach assumes no prior knowledge of econometrics emphasising intuition rather than formulae, giving students the skills and confidence to estimate and interpret models...
674 p itc 07/01/2013 282 1
Từ khóa: finance economics, finance, Popular Economics, introductory econometrics for finance, kinh tế tài chính, thị trường kinh tế, tài chính
Springer Finance is a programme of books addressing students, academics and practitioners working on increasingly technical approaches to the analysis of financial markets. It aims to cover a variety of topics, not only mathematical finance but foreign exchanges, term structure, risk management, portfolio theory, equity derivatives and financial economics.
1030 p itc 07/01/2013 349 1
Từ khóa: Springer Finance, analysis of financial markets, phân tích thị trường tài chính, mathematical finance, foreign exchanges, term structure, risk management, portfolio theory, equity derivatives, financial economics.
The New Market Wizards: Conversations with America's Top Traders
In The New Market Wizards, successful traders relate the financial strategies that have rocketed them to success. Asking questions that readers with an interest or involvement in the financial markets would love to pose to the financial superstars, Jack D. Schwager encourages these financial wizards to share their insights. Entertaining, informative, and invaluable, The New Market Wizards is destined to become another Schwager classic.
190 p itc 02/01/2013 298 1
Từ khóa: Popular Economics, Stocks, Finance, Investing Stocks, đầu tư chứng khoán, kinh tế tài chính, thị trường chứng khoán
Investing is all about common sense. Owning a diversified portfolio of stocks and holding it for the long term is a winner’s game. Trying to beat the stock market is theoretically a zero-sum game (for every winner, there must be a loser), but after the substantial costs of investing are deducted, it becomes a loser’s game. Common sense tells us—and history confirms—that the simplest and most efficient investment strategy is to buy and...
243 p itc 02/01/2013 295 1
Từ khóa: Stock Market, Finance, Stocks, Popular Economics, Investing, thị trường chứng khoán đảm bảo, đầu tư chứng khoán
Discusses in the practical and theoretical aspects of one-period asset allocation, i.e. market Modeling, invariants estimation, portfolia evaluation, and portfolio optimization in the prexence of estimation risk The book is software based, many of the exercises simulate in Matlab the solution to practical problems and can be downloaded from the book's web-site
547 p itc 02/01/2013 283 1
Từ khóa: finance, economics, Asset Allocation, Risk, Risk and Asset Allocation, phân bổ rủi ro, kinh tế tài chính
In this bold and potentially urgent volume, Robert J. Shiller, a respected expert on market volatility, offers an unconventional interpretation of recent U.S. stock market highs and shows that Alan Greenspan's term "irrational exuberance" is a good description of the mood behind the market. He warns that poorer performance may be in the offing and tells us how we--as a country and individually--can respond. Shiller credits an unprecedented...
319 p itc 02/01/2013 306 1
Từ khóa: Stocks, Economic Conditions, Economics, Investing Economics, stock market, chứng khoán, kinh tế tài chính
Do you have a few investments that you would like to develop into a full investment plan? Would you like to know how to strengthen your portfolio? Perhaps you want to roll your 401(k) into a new plan? Whatever your agenda is, nowadays it’s hard to find good advice on where to invest your money. Now you’ll have the ultimate one-stop, no-nonsense guide to investing with Investing for Dummies, Fourth Edition! This updated bestseller...
459 p itc 02/01/2013 328 1
Từ khóa: Finance, Business, Popular Economics, Finance Investing, kinh tế tài chính, đầu tư tài chính, kinh tế
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