図書

Finance and capital markets

図書を表すアイコン

Finance and capital markets

資料種別
図書
著者
-
出版者
Macmillan
出版年
-
資料形態
ページ数・大きさ等
-
NDC
-
すべて見る

資料に関する注記

一般注記:

Publisher varies: Palgrave, Palgrave Macmillan

関連資料・改題前後資料

Derivatives and internal models外部サイトTaxation of equity derivatives and structured products外部サイトFinancial lexicon : a compendium of financial definitions, acronyms, and colloquialisms外部サイトFinancial risk management for Islamic banking and finance外部サイトRisk management with derivatives外部サイトStandby letters of credit : a comprehensive guide外部サイトRisk management and financial derivatives : a guide to the mathematics外部サイトInvestor relations : principles and international best practices of financial communications外部サイトDark pools : the structure and future of off-exchange trading and liquidity外部サイトBund options外部サイトEnergy price risk外部サイトOptions explained[2]外部サイトAsia Pacific derivative markets外部サイトInternational securitisation : the scope, development and future outlook for asset-backed finance外部サイトOff balance sheet finance外部サイトRisk and financial catastrophe外部サイトStrategy, value and risk - the real options approach : reconciling innovation, strategy and value management外部サイトGlobal custody and clearing services外部サイトThe credit risk of financial instruments外部サイトCapital market instruments : analysis and valuation外部サイトForeign exchange : functions, limits and risks外部サイトQuantitative portfolio optimisation, asset allocation and risk management外部サイトExchange rate forecasting : techniques and applications外部サイトThe electronic financial markets of the future : and survival strategies of the broker-dealers外部サイトEmerging Asian fixed income markets外部サイトCreative accounting : the effectiveness of financial reporting in the UK外部サイトDerivatives and internal models外部サイトJapanese warrant markets外部サイトOTC markets in derivative instruments外部サイトInvesting in corporate bonds and credit risk外部サイトPractical quantitative investment management with derivatives外部サイトDictionary of derivatives外部サイトThe credit risk of complex derivatives外部サイトAdequate decision rules for portfolio choice problems外部サイトQuantification of operational risk under Basel II : the good, bad and ugly外部サイトWeather risk management : markets, products and applications外部サイトClimate trading : development of greenhouse gas markets外部サイトInternational securities lending外部サイトExplaining and forecasting the US federal funds rate : a monetary policy model for the US外部サイトCorporate treasury and cash management外部サイトA practical guide to collateral management in the OTC derivatives market外部サイトCorporate governance : financial responsibility, controls and ethics外部サイトAsset management standards : corporate governance for asset management外部サイトRisk management with derivatives外部サイトESOPS : their role in corporate finance and performance外部サイトBunds and bund futures : 'fortune favours the brave'外部サイトCredit treasury : a credit pricing guide in liquid and non-liquid markets外部サイトInvestment withholding tax : best practice and strategies for intermediaries and investors外部サイトThe credit risk of complex derivatives外部サイトFinancial engineering : a handbook for managing the risk-reward relationship外部サイトThe credit risk of complex derivatives外部サイトBasel III credit rating systems : an applied guide to quantitative and qualitative models外部サイトThe economics of the financial crisis : lessons and new threats外部サイトForeign exchange in practice : the new environment外部サイトOptions explained外部サイトInternet valuation : the way ahead外部サイトRisk management and financial derivatives : a guide to the mathematics外部サイトRisk management systems : process, technology, and trends外部サイトInterest rate modelling外部サイトInternational financial operations : arbitrage, hedging, speculation, financing and investment外部サイトStrategy, value and risk : the real options approach外部サイトActive fixed income and credit management外部サイトStock market developments in the countries of the Gulf Cooperation Council外部サイトInternational securities lending外部サイトLiquidity risk : managing asset and funding risk外部サイトFinancial engineering : a handbook for managing the risk-reward relationship外部サイトExport finance : risks, structures and documentation外部サイトStrategy, value and risk : a guide to advanced financial management外部サイトTechnology management in financial services外部サイトBanking/trading : operations management外部サイトInternational trade finance : a pragmatic approach外部サイト

書店で探す

目次

  • Derivatives and internal models

  • Taxation of equity derivatives and structured products

  • Financial lexicon : a compendium of financial definitions, acronyms, and colloquialisms

  • Financial risk management for Islamic banking and finance

  • Risk management with derivatives

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資料種別
図書
出版事項
並列タイトル等
Finance and capital markets series
Palgrave Macmillan finance and capital markets series
出版地(国名コード)
uk
対象利用者
一般
一般注記
Publisher varies: Palgrave, Palgrave Macmillan
関連情報
Derivatives and internal models
Taxation of equity derivatives and structured products
Financial lexicon : a compendium of financial definitions, acronyms, and colloquialisms
Financial risk management for Islamic banking and finance
Risk management with derivatives
Standby letters of credit : a comprehensive guide
Risk management and financial derivatives : a guide to the mathematics
Investor relations : principles and international best practices of financial communications
Dark pools : the structure and future of off-exchange trading and liquidity
Bund options
Energy price risk
Options explained[2]
Asia Pacific derivative markets
International securitisation : the scope, development and future outlook for asset-backed finance
Off balance sheet finance
Risk and financial catastrophe
Strategy, value and risk - the real options approach : reconciling innovation, strategy and value management
Global custody and clearing services
The credit risk of financial instruments
Capital market instruments : analysis and valuation
Foreign exchange : functions, limits and risks
Quantitative portfolio optimisation, asset allocation and risk management
Exchange rate forecasting : techniques and applications
The electronic financial markets of the future : and survival strategies of the broker-dealers
Emerging Asian fixed income markets
Creative accounting : the effectiveness of financial reporting in the UK
Derivatives and internal models
Japanese warrant markets
OTC markets in derivative instruments
Investing in corporate bonds and credit risk
Practical quantitative investment management with derivatives
Dictionary of derivatives
The credit risk of complex derivatives
Adequate decision rules for portfolio choice problems
Quantification of operational risk under Basel II : the good, bad and ugly
Weather risk management : markets, products and applications
Climate trading : development of greenhouse gas markets
International securities lending
Explaining and forecasting the US federal funds rate : a monetary policy model for the US
Corporate treasury and cash management
A practical guide to collateral management in the OTC derivatives market
Corporate governance : financial responsibility, controls and ethics
Asset management standards : corporate governance for asset management
Risk management with derivatives
ESOPS : their role in corporate finance and performance
Bunds and bund futures : 'fortune favours the brave'
Credit treasury : a credit pricing guide in liquid and non-liquid markets
Investment withholding tax : best practice and strategies for intermediaries and investors
The credit risk of complex derivatives
Financial engineering : a handbook for managing the risk-reward relationship
The credit risk of complex derivatives
Basel III credit rating systems : an applied guide to quantitative and qualitative models
The economics of the financial crisis : lessons and new threats
Foreign exchange in practice : the new environment
Options explained
Internet valuation : the way ahead
Risk management and financial derivatives : a guide to the mathematics
Risk management systems : process, technology, and trends
Interest rate modelling
International financial operations : arbitrage, hedging, speculation, financing and investment
Strategy, value and risk : the real options approach
Active fixed income and credit management
Stock market developments in the countries of the Gulf Cooperation Council
International securities lending
Liquidity risk : managing asset and funding risk
Financial engineering : a handbook for managing the risk-reward relationship
Export finance : risks, structures and documentation
Strategy, value and risk : a guide to advanced financial management
Technology management in financial services
Banking/trading : operations management
International trade finance : a pragmatic approach
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国立情報学研究所 : CiNii Research