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Bài giảng Tiếng Anh chuyên ngành Kế toán - Giảng viên: ThS. Trịnh Minh Lý
Bài giảng Tiếng Anh chuyên ngành Kế toán do Giảng viên: ThS. Trịnh Minh Lý biên soạn trình bày các nội dung chính sau: Turnover trouble; A question of figure; How much does it cost; Doubtful ratios; The way forward; Evaluating a project; Reviewing the financial base; Obtaining finance; The path to the partnership.
63 p mku 07/07/2023 123 0
Từ khóa: Bài giảng Tiếng Anh chuyên ngành Kế toán, Tiếng Anh chuyên ngành Kế toán, Turnover trouble, Doubtful ratios, The way forward, Reviewing the financial base, Obtaining finance
Ebook An introduction to derivatives and risk management (10th edition): Part 2
Part 2 book "An introduction to derivatives and risk management" has contents: Interest rate forwards and options, advanced derivatives and strategies, managing risk in an organization, financial risk management techniques and applications; forward and futures hedging, spread, and target strategies,...and other contents.
348 p mku 01/10/2022 84 0
Từ khóa: An introduction to derivatives, Interest rate forwards, Advanced derivatives, Managing risk, Financial risk management techniques, Futures hedging, Target strategies
Ebook Business Analysis and Valuation: Using Financial Statements (second edition)
The purpose of this chapter is to outline comprehensive framework for financial statement analysis. Because financial statements provide the most widely available data on public corporations’ economic activities, investors and other stakeholders rely on financial reports to assess the plans and performance of firms and corporate managers. A variety of questions can be addressed by business analysis using financial statements, as shown...
952 p mku 01/10/2022 76 0
Từ khóa: Business Analysis, Valuation, financial, Credit worthiness, Financial statement, European accounting
Ebook Financial institutions management (6th edition): Part 1
Part 1 book "Financial institutions management" has contents: The financial services industry - insurance companies; the financial services industry - mutual funds and hedge funds; risks of financial intermediation, interest rate risk, market risk, the financial services industry - finance companies,...and other contents.
394 p mku 01/10/2022 94 0
Từ khóa: Financial institutions management, The financial services industry, Insurance companies, Financial intermediation, Interest rate risk, Market risk, The financial services industry
Ebook Financial institutions management (6th edition): Part 2
Part 2 book "Financial institutions management" has contents: off-balance-sheet risk, foreign exchange risk, sovereign risk, technology and other operational risks, liquidity risk, capital adequacy, product diversification, geographic expansion, liability and liquidity management,...and other contents.
502 p mku 01/10/2022 80 0
Từ khóa: Financial institutions management, Foreign exchange risk, Sovereign risk, Liquidity management, Capital adequacy, Product diversification, Geographic expansion
Ebook Financial markets and corporate strategy
Financial Markets and Corporate Strategyis a thorough, authoritative, yet readabletext that covers the material in a modern and analytically cohesive manner. It’s the first book I go to when I need to look something up.
894 p mku 09/08/2022 65 0
Từ khóa: Financial markets, Financial instruments, Valuing financial assets, Valuing real assets, Capital structure, Corporate control
Ebook Trade Finance during the Great Trade Collapse
The editors are grateful to all the contributors in this book who have willinglyembarked on this endeavor and offered their time, energy, and ideas to helpadvance our collective knowledge on the role of trade finance during the 2008–09global economic crisis. We have been particularly blessed to count on most actorsthat played a significant role during the financial crisis, be it international orregional institutions, government bodies,...
432 p mku 08/08/2022 50 0
Từ khóa: Trade credit, Financial crises, Global perspectives, Trade finance, Blessing during, Trade financing
Ebook Copula methods in finance
Ebook Copula methods in finance is the first book to address the mathematics of copula functions illustrated with finance applications. It explains copulas by means of applications to major topics in derivative pricing and credit risk analysis. Examples include pricing of the main exotic derivatives (barrier, basket, rainbow options) as well as risk management issues.
308 p mku 08/08/2022 54 0
Từ khóa: Financial and regulatory contexts, Asset and risk management, Underlying theories of asset management, Risk management, Asset management and risk management
Quantitative finance: Its development, mathematical foundations, and current scope
Prerequisites include courses in (1) multivariate calculus; (2) probability at the level of, say, Sheldon Ross’ Introduction to Proba- bility Models; and (3) statistics through regression analysis. Basic familiarity with matrix algebra is also assumed. Some prior exposure to key topics in real analysis would be extremely helpful, although they are presented here as well. The book is based on a series of lectures that I gave to...
399 p mku 08/08/2022 68 0
Từ khóa: Elemental view, Financial markets, Transportation agents, Transportation desirable, Assets and markets, Quantitative finance
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