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  • Capital Markets in Southeast Europe

    Origins and Efficiency in a Cross-Country Analysis of Transition Economies

    de Ante Dodig ...
    Series series Economics and Finance (R0)
    This book considers the theme of capital markets prowess and its link with surrounding economic dexterity. It presents the story on the back of dual intertwined cornerstone pillars: The initial agenda sets the global macroeconomic context and its interplay with financial markets and sub-segment capital markets. Then the book moves to the evolvement of the inherent capital markets, from nascence to ... Leer más

    $89.99 USD

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  • The Bank Credit Analysis Handbook

    A Guide for Analysts, Bankers and Investors

    Series series Wiley Finance
    The Bank Credit Analysis HandbookPraise for The Bank Credit Analysis Handbook“In this second edition, Philippe Delhaise and Jonathan Golin build on their professional experience with Thomson Bank Watch Asia to produce a clear introduction to bank credit risk analysis. As very few books on this topic exist, it is a most welcome publication. The short and transparent chapters are rich on ... Leer más

    $189.00 USD

  • Investment Risk Management

    Edición de H. Kent Baker, Greg Filbeck ...
    Series series Financial Markets and Investments
    All investments carry with them some degree of risk. In the financial world, individuals, professional money managers, financial institutions, and many others encounter and must deal with risk. Risk management is a process of determining what risks exist in an investment and then handling those risks in the best-suited way. This is important because it can reduce or augment risk depending on the ... Leer más

    $147.99 USD

  • The Chinese Yuan

    Internationalization and Financial Products in China

    Series Libro 678 - Wiley Finance
    Few topics have attracted as much attention worldwide in recent years as the RMB. These debates have gained added urgency in light of the financial crisis and the topic of RMB revaluation is now being actively debated in countries all over the world from Tunisia to the United States. This book explores the ever-changing role of the RMB and the related derivative products. However, it does so from ... Leer más

    $91.99 USD

  • Post-Bubble Blues: How Japan Responded to Asset Price Collapse

    What caused Asia's largest economy, once the envy of the world, to lag behind many of the other industrial countries? And why did it take so long for Japan to recover from the bursting of its asset price bubble of the late 1980s? In this volume, a team from the International Monetary Fund examines the causes of the lingering economic problems of Japan, the crisis in its banking system, the reasons ... Leer más

    $10.99 USD

  • The Mutual Fund Industry

    Competition and Investor Welfare

    Mutual funds form the bedrock of retirement savings in the United States, and, considering their rapid growth, are sure to be more critical in the future. Because the size of fees paid by investors to mutual fund advisers can strongly affect the return on investment, these fees have become a contentious issue in Congress and the courts, with many arguing that investment advisers grow rich at the ... Leer más

    $24.99 USD

  • Global Financial Stability Report, April 2014: Moving from Liquidity- to Growth-Driven Markets

    Series series Global Financial Stability Report
    The April 2014 Global Financial Stability Report finds that, despite much progress, the global financial system remains in a transitional period with stability conditions far from normal. Advanced and emerging market economies alike need to make a successful shift from liquidity- to growth-driven markets, which will require a number of elements, including a normalization of U.S. monetary policy; ... Leer más

    $24.99 USD

  • Emerging Markets and the Global Economy

    A Handbook

    Emerging Markets and the Global Economy investigates analytical techniques suited to emerging market economies, which are typically prone to policy shocks. Despite the large body of emerging market finance literature, their underlying dynamics and interactions with other economies remain challenging and mysterious because standard financial models measure them imprecisely. Describing the linkages ... Leer más

    $106.99 USD

  • Understanding Systemic Risk in Global Financial Markets

    Series series Wiley Finance
    An accessible and detailed overview of the risks posed by financial institutionsUnderstanding Systemic Risk in Global Financial Markets offers an accessible yet detailed overview of the risks to financial stability posed by financial institutions designated as systemically important. The types of firms covered are primarily systemically important banks, non-banks, and financial market utilities ... Leer más

    $63.00 USD

  • China's Guaranteed Bubble

    How Implicit Government Support Has Propelled China's Economy While Creating Systemic Risk

    de Ning Zhu ...
    The truth about China’s financial industry—and the growing bubble that’s guaranteed to blow it apart…In recent years, the Chinese economy has been fueled by the implicit guarantee of major banks and local governments by the nation’s central government. The resultant bubble has led to the emergence of a large shadow banking industry that poses major risks to China’s real estate market, speculative ... Leer más

    $52.99 USD

  • When Insurers Go Bust

    An Economic Analysis of the Role and Design of Prudential Regulation

    In the 1990s, large insurance companies failed in virtually every major market, prompting a fierce and ongoing debate about how to better protect policyholders. Drawing lessons from the failures of four insurance companies, When Insurers Go Bust dramatically advances this debate by arguing that the current approach to insurance regulation should be replaced with mechanisms that replicate the ... Leer más

    $55.49 USD

  • The Right Balance for Banks

    Theory and Evidence on Optimal Capital Requirements

    de William Cline ...
    Series series Policy Analyses in International Economics
    The global financial crisis produced an important agreement among regulators in 2010–11 to raise capital requirements for banks to protect them from insolvency in the event of another emergency. In this book, William R. Cline, a leading expert on the global financial system, employs sophisticated economic models to analyze whether these reforms, embodied in the Third Basel Accord, have gone far ... Leer más

    $14.39 USD