This book offers a regulatory analysis of the latest EU regulation of banking business models, taking into account both the legal and economic aspects. It examines the rules that influence the evolution of the financial industry and the capital mark...Loe edasi...
A Finaeon Guide Powered by GFDThis book provides a history of currencies for each currency-issuing country or territory on Earth. Sections offer details about coins and banknotes, along with brief histories to help contextu...Loe edasi...
This textbook is the first resource specifically designed to equip business students in accounting and finance with a systematic and practical understanding of artificial intelligence (AI). Recognizing the current gap where business students often...Loe edasi...
Algorithmic Trading via AI/Machine Learning with R aims to demonstrate how algorithmic trading can empower retail traders to compete more effectively in markets long dominated by institutional giants. By translating advanced techniques into...Loe edasi...
Algorithmic Trading via AI/Machine Learning with R aims to demonstrate how algorithmic trading can empower retail traders to compete more effectively in markets long dominated by institutional giants. By translating advanced techniques into...Loe edasi...
Focused on the Asia Pacific region, this book examines the motivations behind Central Bank Digital Currencies (CBDC) adoption, the design and technological requirements, and the policy challenges faced by central banks. It offers a critical perspe...Loe edasi...
Public financial management (PFM) has gone through a period of intense change since the Global Financial Crisis (GFC) of 2008-2009 and its aftermath. These developments include the financial response to climate change, gender-related budgeting, fisc...Loe edasi...
The book offers a concise, accessible guide to Vector Autoregression (VAR) models. Starting with data preparation, the book demonstrates how VAR models are estimated, the criteria for selecting the number of lags and how the re...Loe edasi...
The book Risk and Resilience in Sustainable Climate Finance explores the critical role of financial risk management and resilience-building strategies in achieving sustainable climate finance. It examines how financial institutions, policymakers,...Loe edasi...
This book examines the political-economic perspective on the strategic dimensions of disaster risk financing in India. It argues that financing is an essential part of disaster governance and needs periodic review. While disaster governance is a r...Loe edasi...
This book examines the political-economic perspective on the strategic dimensions of disaster risk financing in India. It argues that financing is an essential part of disaster governance and needs periodic review. While disaster governance is a r...Loe edasi...
As a seminal writing on personal finances for business owners, this book details a step-by-step guide to how an entrepreneur can use their business as a springboard for acquiring and protecting exponential wealth.You’ve heard the stories of...Loe edasi...
Seminal writing on personal finances for business owners, this book details a step-by-step guide how an entrepreneur can use their business as a springboard for acquiring and protecting exponential wealth. As a seminal writing on pe...Loe edasi...
This book offers a holistic approach to understanding the Why, What, and How of tokenized money, examining its necessity, functionality, and implementation strategies. It covers a wide range of topics, from Central Bank Digital Currencies (CBD...Loe edasi...
This book offers a comprehensive analysis of the evolution of equity markets in Canada and the United States with particular attention to the institutional and regulatory architectures that have shaped them. It begins by tracing the development and...Loe edasi...
This new edition gives the reader expert guidance on the legislation surrounding loan relationships and derivative contracts which have undergone significant change in the last few years. The new edition combines the guidance given in the 10th edi...Loe edasi...
(Ilmumisaeg: 02-Jul-2026, Hardback, Kirjastus: John Wiley & Sons Inc, ISBN-13: 9781394354450)
The definitive guide to counterparty risk and valuation adjustments, updated and revised In the newly revised fifth edition of The xVA Challenge, veteran quantitative finance and counterparty credit risk expert Jon Gregory delivers an aut...Loe edasi...
This self-contained book is the first of a two-volume set providing a thorough introduction to quantitative finance, covering both theoretical and computational methods. This volume covers stochastic analysis, option pricing theory, optimal portfo...Loe edasi...
UK Banking Supervision (1986) draws attention to some of the main problems, theoretical and practical, associated with banking supervision in the UK. It sets out to introduce and analyse the UK bank supervisory process, and it raises some i...Loe edasi...
Sustainable Financial Structured Products: Managing Risk Appetite across Modelling, Structuring, and Hedging gives an overview of all relevant aspects of Financial Structured Products (i.e. long-term savings products) from the risk perspect...Loe edasi...
(Ilmumisaeg: 30-Jun-2026, Hardback, Kirjastus: John Wiley & Sons Inc, ISBN-13: 9781394363186)
Disruptive new innovations crypto, robotics, quantum, AI are changing everything. Are you ready? The Future of Wealth: The Next 50 Years of Money, Power, and the American Dream by Armando Pantoja is a detailed roadmap designed to help...Loe edasi...
This book examines the role of strategic risk management (SRM) in the transformation of banks and their customers towards more sustainable business practices. Banks play a particularly important role in this transformation because they have been t...Loe edasi...
Offering a forward-thinking perspective, the book presents a fresh take on todays financial systems. It takes readers on a comprehensive journey through the converging forces of economic disruption, technological advancement, and evolving market...Loe edasi...
(Ilmumisaeg: 30-Jun-2026, Hardback, Kirjastus: Cambridge University Press, ISBN-13: 9781009742320)
Quantitative Easing was an important policy tool implemented in response to the prolonged periods of low growth and low inflation after the 2008 financial crisis. This book gives an overview of how this policy was implemented, how effective it was,...Loe edasi...
Quantitative Easing was an important policy tool implemented in response to the prolonged periods of low growth and low inflation after the 2008 financial crisis. This book gives an overview of how this policy was implemented, how effective it was,...Loe edasi...
(Ilmumisaeg: 30-Jun-2026, Hardback, Kirjastus: Cambridge University Press, ISBN-13: 9781009700306)
Surveys the literature on middlemen (i.e., intermediation in exchange) reviewing, extending and consolidating key developments in the field. This is important because intermediated trade is common in reality but absent in standard general equilibriu...Loe edasi...
Surveys the literature on middlemen (i.e., intermediation in exchange) reviewing, extending and consolidating key developments in the field. This is important because intermediated trade is common in reality but absent in standard general equilibriu...Loe edasi...
Offering a rare Africa-centred perspective, this book explores how innovative financial instruments and entrepreneurial models can drive Africa’s green economy agenda. It emphasises the need to integrate ESG principles, mobilise capital, and align...Loe edasi...
The bank failures of the early 2020s challenged the view that the financial reforms implemented after the 2007-2009 financial crisis had strengthened the robustness of the financial system. The bank failures of the early 2020s chall...Loe edasi...
Public financial management (PFM) has gone through a period of intense change since the Global Financial Crisis (GFC) of 2008-2009 and its aftermath. These developments include the financial response to climate change, gender-related budgeting, fisc...Loe edasi...
The book offers a concise, accessible guide to Vector Autoregression (VAR) models. Starting with data preparation, the book demonstrates how VAR models are estimated, the criteria for selecting the number of lags and how the re...Loe edasi...
This book offers a comprehensive analysis of the evolution of equity markets in Canada and the United States with particular attention to the institutional and regulatory architectures that have shaped them. It begins by tracing the development and...Loe edasi...
This book offers a holistic approach to understanding the Why, What, and How of tokenized money, examining its necessity, functionality, and implementation strategies. It covers a wide range of topics, from Central Bank Digital Currencies (CBD...Loe edasi...
Seminal writing on personal finances for business owners, this book details a step-by-step guide how an entrepreneur can use their business as a springboard for acquiring and protecting exponential wealth. As a seminal writing on pe...Loe edasi...
As a seminal writing on personal finances for business owners, this book details a step-by-step guide to how an entrepreneur can use their business as a springboard for acquiring and protecting exponential wealth.You’ve heard the stories of...Loe edasi...
This book examines the political-economic perspective on the strategic dimensions of disaster risk financing in India. It argues that financing is an essential part of disaster governance and needs periodic review. While disaster governance is a r...Loe edasi...
This book examines the political-economic perspective on the strategic dimensions of disaster risk financing in India. It argues that financing is an essential part of disaster governance and needs periodic review. While disaster governance is a r...Loe edasi...
The book Risk and Resilience in Sustainable Climate Finance explores the critical role of financial risk management and resilience-building strategies in achieving sustainable climate finance. It examines how financial institutions, policymakers,...Loe edasi...
(Ilmumisaeg: 02-Jul-2026, Hardback, Kirjastus: John Wiley & Sons Inc, ISBN-13: 9781394354450)
The definitive guide to counterparty risk and valuation adjustments, updated and revised In the newly revised fifth edition of The xVA Challenge, veteran quantitative finance and counterparty credit risk expert Jon Gregory delivers an aut...Loe edasi...
This new edition gives the reader expert guidance on the legislation surrounding loan relationships and derivative contracts which have undergone significant change in the last few years. The new edition combines the guidance given in the 10th edi...Loe edasi...
This self-contained book is the first of a two-volume set providing a thorough introduction to quantitative finance, covering both theoretical and computational methods. This volume covers stochastic analysis, option pricing theory, optimal portfo...Loe edasi...
Most traders spend their lives searching for the perfect strategy. They believe the next indicator, the next system, the next prediction will finally unlock their success. They are wrong. In Jack of All Trades How to Become th...Loe edasi...
UK Banking Supervision (1986) draws attention to some of the main problems, theoretical and practical, associated with banking supervision in the UK. It sets out to introduce and analyse the UK bank supervisory process, and it raises some i...Loe edasi...
Your step-by-step guide to evicting a problem tenant in CaliforniaHere, you’ll find all of the forms you need along with clear, step-by-step instructions on how to:prepare nonpayment of rent notices...Loe edasi...
(Ilmumisaeg: 30-Jun-2026, Hardback, Kirjastus: John Wiley & Sons Inc, ISBN-13: 9781394363186)
Disruptive new innovations crypto, robotics, quantum, AI are changing everything. Are you ready? The Future of Wealth: The Next 50 Years of Money, Power, and the American Dream by Armando Pantoja is a detailed roadmap designed to help...Loe edasi...
Sustainable Financial Structured Products: Managing Risk Appetite across Modelling, Structuring, and Hedging gives an overview of all relevant aspects of Financial Structured Products (i.e. long-term savings products) from the risk perspect...Loe edasi...
Stay ahead in FinTechs AI era by mastering generative AI integration and leveraging real-world case studies and proven frameworks to build trustworthy, high-impact financial products. Key Features Master AI-first product manag...Loe edasi...