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Risk Management
  • Language: en
  • Pages: 842

Risk Management

Dealing with all aspects of risk management that have undergone significant innovation in recent years, this book aims at being a reference work in its field. Different to other books on the topic, it addresses the challenges and opportunities facing the different risk management types in banks, insurance companies, and the corporate sector. Due to the rising volatility in the financial markets as well as political and operational risks affecting the business sector in general, capital adequacy rules are equally important for non-financial companies. For the banking sector, the book emphasizes the modifications implied by the Basel II proposal. The volume has been written for academics as well as practitioners, in particular finance specialists. It is unique in bringing together such a wide array of experts and correspondingly offers a complete coverage of recent developments in risk management.

Derivatives Pricing and Modeling
  • Language: en
  • Pages: 446

Derivatives Pricing and Modeling

Highlights research in derivatives modelling and markets in a post-crisis world across a number of dimensions or themes. This book addresses the following main areas: derivatives models and pricing, model application and performance backtesting, and new products and market features.

Rethinking Valuation and Pricing Models
  • Language: en
  • Pages: 658

Rethinking Valuation and Pricing Models

It is widely acknowledged that many financial modelling techniques failed during the financial crisis, and in our post-crisis environment many techniques are being reconsidered. This single volume provides a guide to lessons learned for practitioners and a reference for academics. Including reviews of traditional approaches, real examples, and case studies, contributors consider portfolio theory; methods for valuing equities and equity derivatives, interest rate derivatives, and hybrid products; and techniques for calculating risks and implementing investment strategies. Describing new approaches without losing sight of their classical antecedents, this collection of original articles presents a timely perspective on our post-crisis paradigm. Highlights pre-crisis best classical practices, identifies post-crisis key issues, and examines emerging approaches to solving those issues Singles out key factors one must consider when valuing or calculating risks in the post-crisis environment Presents material in a homogenous, practical, clear, and not overly technical manner

Encyclopedia of Alternative Investments
  • Language: en
  • Pages: 590

Encyclopedia of Alternative Investments

  • Type: Book
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  • Published: 2008-08-18
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  • Publisher: CRC Press

A pioneering reference essential in any financial library, the Encyclopedia of Alternative Investments is the most authoritative source on alternative investments for students, researchers, and practitioners in this area. Containing 545 entries, the encyclopedia focuses on hedge funds, managed futures, commodities, and venture capital. It features

The Handbook of Commodity Investing
  • Language: en
  • Pages: 986

The Handbook of Commodity Investing

Filled with a comprehensive collection of information from experts in the commodity investment industry, this detailed guide shows readers how to successfully incorporate commodities into their portfolios. Created with both the professional and individual investor in mind, The Handbook of Commodity Investments covers a wide range of issues, including the risk and return of commodities, diversification benefits, risk management, macroeconomic determinants of commodity investments, and commodity trading advisors. Starting with the basics of commodity investments and moving to more complex topics, such as performance measurement, asset pricing, and value at risk, The Handbook of Commodity Investments is a reliable resource for anyone who needs to understand this dynamic market.

Value Stocks beat Growth Stocks: An empirical Analysis for the German Stock Market
  • Language: en
  • Pages: 72

Value Stocks beat Growth Stocks: An empirical Analysis for the German Stock Market

  • Type: Book
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  • Published: 2012-11-02
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  • Publisher: GRIN Verlag

Master's Thesis from the year 2012 in the subject Business economics - Banking, Stock Exchanges, Insurance, Accounting, grade: 1,0, University of Bamberg, language: English, abstract: Based on a sample of German stocks listed at the Frankfurt stock exchange, the study investigated the ability of hedge portfolio formation structures, built of three value premium proxies (P/B, P/E, and DY), the size factor, and the technical momentum factor, to generate excess returns in the period 1992 to 2011. The P/B hedge portfolio yields an average return of 1.59 percent per month, the P/E hedge portfolio 0.664 percent, and a portfolio formation approach ranked on DY delivers a return of 0.839. The results of multivariate regressions favor the Fama-French three-factor model in order to explain expected stock returns.

The Journal of Derivatives
  • Language: en
  • Pages: 736

The Journal of Derivatives

  • Type: Book
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  • Published: 2005
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  • Publisher: Unknown

description not available right now.

Bond Valuation in Emerging Markets
  • Language: en
  • Pages: 246

Bond Valuation in Emerging Markets

description not available right now.

Valuation, Empirical Analysis, and Optimal Exercise of Open-End Turbo Certificates
  • Language: en
  • Pages: 365
Cleveland City Directory
  • Language: en
  • Pages: 820

Cleveland City Directory

  • Type: Book
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  • Published: 1877
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  • Publisher: Unknown

description not available right now.