26.10.2020 09:53 (мск)

Банковское дело (152 шт.)

A Behavioral Approach to Asset Pricing
A Behavioral Approach to Asset Pricing
4 250,00 руб.
Отгружается в течение трех недель
A Primer on Money, Banking, and Gold
2 164,00 руб.
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Accounting Control and Organisational Behaviour
Accounting Control and Organisational Behaviour
3 206,00 руб.
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Bank Guarantees In International Trade (Bank Guarantees in International Trade)
3 347,10 руб.
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Bankers in the Selling Role : A Consultative Guide to Cross-Selling Financial Services
Intended to develop the essential selling skills needed to effectively market the broad range of credit and noncredit services banks now offer. Assist bankers in their roles as financial consultants to their customers. Updated and revised, it offers bankers a framework they can use to assess their sales effectiveness, improve their post-sales-call evaluation, and recover during a call.
4 513,00 руб.
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Bankruptcy in United States History
An informative look at the historical and constitutional development of bankruptcy laws.
2 101,00 руб.
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Banks at Risk: Global Best Practices in an Age of Turbulence
In the wake of the great financial crisis of 2008 the entire industry's practices have come under scrutiny. Everyone from the government to regulators, banks and risk managers are rethinking the best way forward for the financial sector. The stakes are high. Should trends in the industry continue and financial innovations allow the damage of the next crisis to grow exponentially, the endgame could be the sort of mutually assured destruction that topples entire economies. Charting the way forward in financial services reform requires a fundamental reappraisal of how things are done in order to avert disaster in the near future.
3 199,00 руб.
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Capital Markets and Institutions: A Global View
This book shows how financial intermediaries interact to influence and develop global financial markets. It includes material on central banks such as the Bundesbank, the Bank of England, the Bank of Japan, and the Federal Reserve Bank and discusses the activities of the BIS, IMF and World Bank.
3 110,00 руб.
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Cases and Materials on Bankruptcy
Designed to teach a course on questions that arise in and are associated with business bankruptcy. Contains actual documents tracing a conventional Chapter 11 case from inception to conclusion to give students an idea of a typical business bankruptcy. Also contains an introduction to American bankruptcy law, its purpose, and its history.
2 320,10 руб.
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CIMA Revision Cards: Business Strategy
CIMA Revision Cards: Business Strategy
1 409,00 руб.
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CIMA Revision Cards: Financial Strategy
CIMA Revision Cards: Financial Strategy
1 409,00 руб.
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CIMA Revision Cards: Risk and Control Strategy
CIMA Revision Cards: Risk and Control Strategy
1 174,00 руб.
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Clearing, Settlement and Custody
'Clearing, Settlement and Custody' focuses on the clearing, settlement and custody functions by analyzing how they work and the interaction between the organizations involved. The author examines the roles of clearing houses, central counterparties, central securities depositories and the custodians, as well as, assessing the impact on the workflow and procedures in the operations function at banks, brokers and institutions. The changes that are taking place in the industry are explored and the impact for operations managers and supervisors assessed. Clearing, settlement and custody is at the heart of everything that happens in the financial markets. The evolution of clearing and settlement is one that is still happening and as such, it is impacting on the operations function through both new practices but also, increasingly, in terms of regulation, risk and reputation. In essence the efficient clearing and settlement operation is managing risk, not because it is a...
3 238,00 руб.
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Cross-Border Security and Insolvency
Prudent creditors seek to protect themselves against the risk of their debtor's insolvency by taking security. With the growth of the multinational corporation and the increasing globalization of the market-place, cross-border insolvency has become a major commercial risk. Much academic, judicial, and legislative consideration has been given to this problem, and international conventions and major legal textbooks have been devoted to the subject. Less consideration, however, has been given to the connected and equally important, but possibly more intractable, issue of cross-border security. This book should prove a major contribution to understanding the nature of the problems involved, without which even tentative solutions are unlikely to be found. It owes its origin to an important colloquium held at St John's College, Oxford in April 2000. The distinguished speakers came from different jurisdictions, England, the United States, Germany, and France, and included bankers and...
2 584,80 руб.
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Dead Bank Walking: One Gutsy Bank's Struggle For Survival And The Merger That Changed Banking Forever
"Dead Bank Walking: One Gutsy Bank's Struggle For Survival And The Merger That Changed Banking Forever" is a stunningly candid portrait of the historic merger between Security Pacific Bank and Bank of America, a combining of two giants that set in motion the fever of banking marriages we now witness. This book not only answers the WHO, WHAT and WHY of the mega-merger, but stands alone as an object lesson on all mergers. It evokes the humor and frantic chaos surrounding a deal that is still regarded as either a brilliant coup or a tragic swan song to banking sovereignty and independence. In Dead Bank Walking, Robert H. Smith, former Chairman and CEO of Security Pacific (and later President of Bank of America) spins a tale that will enthrall business people and mesmerize readers who never thought they could be interested in an epic about bankers. Part business thriller and part interpersonal drama, the story details the final paroxysms of a 120 year old institution revered by Wall...
270,30 руб.
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Death Of The Banker
492,00 руб.
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Due Diligence Handbook
Due Diligence Handbook
13 382,00 руб.
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Essentials of Accounts Payable
ESSENTIALS OF ACCOUNTS PAYABLE Full of valuable tips, techniques, illustrative real–world examples, exhibits, and best practices, this handy and concise paperback will help you stay up to date on the newest thinking, strategies, developments, and technologies in accounts payable. "A real–world approach, with great insights and practical wisdom on all aspects of the accounts payable process. Essentials of Accounts Payable provides accounts payable professionals with a framework for action in a rapidly changing environment." –Tom Nichols, Division Manager, Accounts Payable Operations, AT&T "Mary Schaeffer has combined her considerable knowledge of the accounts payable process with the learning and benchmark statistics from top companies to produce a world–class guide to the AP process. Without Mary Schaeffer, and IOMA, AP would still be a neglected financial process without any formal reading to explain the complexities of a process that most companies think is simply...
4 329,00 руб.
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European Financial Systems in the Global Economy
Book DescriptionEuropean Financial Systems in the Global Economy provides an overview of sources of finance, types of financial intermediation and financial systems in Europe and their relative importance in the world economy. It describes market mechanisms and prices and gives a broad introduction to the relevant regional financial and monetary issues (including those countries that will join the EU in the future) and makes an ideal primer for those new to the world of finance.
4 281,00 руб.
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Experiencing Change in German Controlling
Experiencing Change in German Controlling
2 698,00 руб.
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Financial Institutions Management+Standard & Poor's+Ethics in Finance Powerweb (Irwin Mcgraw Hill Series in Finance, Insurance and Real Estate)
Book DescriptionSaunders and Cornett’s Financial Institutions Management: A Risk Management Approach 5/e focuses on managing return and risk in modern financial institutions. The central theme is that the risks faced by financial institutions managers and the methods and markets through which these risks are managed are becoming increasingly similar whether an institution is chartered as a commercial bank, a savings bank, an investment bank, or an insurance company. Although the traditional nature of each sector’s product activity is analyzed, a greater emphasis is placed on new areas of activities such as asset securitization, off-balance-sheet banking, and international banking.
10 581,00 руб.
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Financial Institutions, Markets, and Money
This book's descriptive, balanced overview of the U.S. financial system, its primary institutions and markets, coupled with an introduction to international markets, creates a presentation truly reflective of today's global marketplace.
14 899,00 руб.
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Financial Markets and Institutions: A Modern Perspective, Second Edition
Book DescriptionAccessible, thoroughly up to date, and pedagogically rich, Saunders and Cornett's Financial Markets and Institutions 2/e fits perfectly into the newest segment of the markets and institutions course area. Beginning with ten chapters on markets, the student is able to create a solid microeconomics focus while still building on the risk management/risk measurement framework. International coverage has been provided throughout the text and exceptional illustrations and examples make even themost difficult concepts, like derivatives, easy to learn.
7 601,00 руб.
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Financial Ratios
Financial Ratios
2 428,00 руб.
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Financial Sector Governance: The Roles of the Public and Private Sectors
A financial system is only as strong as the governing practices and institutions of its participants. The challenge to build efficient and accountable financial institutions that promote confidence is a problem that private financial sector executives and policymakers confront together. In this context, "Financial Sector Governance" takes a clinical approach to addressing the challenges in emerging and developed markets in each industry: capital markets, private banks, state-owned banks, asset management companies, public pension funds and mutual funds. It also explores the linkages between public and private sector governance, and the policy implications for strengthening both sides. "Financial Sector Governance" emerged from the Fourth Annual Financial Markets and Development Conference, organized by the World Bank, the International Monetary Fund and the Brookings Institution, during which participants from the public and private financial sectors of emerging and developed markets...
856,40 руб.
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Financial Structure and Economic Growth: A Cross-Country Comparison of Banks, Markets, and Development
This is the first broad cross-country assessment of the ties between financial structure -- the mix of financial instruments, institutions, and markets in a given economy -- and economic growth since Raymond Goldsmith's 1969 landmark study. Most studies focus on developed countries and compare bank-based and market-based systems. Debates over the relative merits of the two systems have relied on case studies of Germany, Japan, the United Kingdom, and the United States, countries with similar long-run growth rates. The absence of data on developing countries limits the usefulness of such studies for policy makers. The book contains recently acquired cross-country data from almost 150 countries. It includes information on the size, efficiency, and activity of banks, insurance companies, pension and mutual funds, finance companies, and stock and bond markets. It also incorporates information on each country's political, economic, and social environment. The chapters contain...
3 550,00 руб.
Отгружается в течение трех недель
Free Banking and Monetary Reform
2 619,00 руб.
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Global Financial Deregulation: Commercial Banking at the Crossroads
935,00 руб.
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Good Value: Reflections on Money, Morality and an Uncertain World
How should we create wealth in societies, and why is it right and necessary to do so? What improves the lives of the largest number of people? And how do we, living in a globalized world caught in an age of financial and ecological turbulence, respond to the differing needs of individuals and institutions? In "Good Value: Reflections on Money, Morality and an Uncertain World"Stephen Green, Chairman of HSBC, reflects on how the human desires for exploration and exchange have led us into a globalized, urban world. He considers why capitalism - flawed though it obviously is - seems to be the best system by which to improve material human wealth. As the world's financial order is in a state of flux, how do we align these human instincts, and the capitalism they have produced, with our spiritual and psychological needs? And how should the financial sector respond not only to the current crisis but to the wider needs of the people it serves. Do businesses have a duty to society that...
370,70 руб.
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Introduction to the Mathematics of Financial Derivatives
This popular text, publishing Spring 1999 in its Second Edition, introduces the mathematics underlying the pricing of derivatives. The increase of interest in dynamic pricing models stems from their applicability to practical situations: with the freeingof exchange, interest rates, and capital controls, the market for derivative products has matured and pricing models have become more accurate. Professor Neftci's book answers the need for a resource targeting professionals, Ph.D. students, and advanced MBA students who are specifically interested in these financial products. The Second Edition is designed to make the book the main text in first year masters and Ph.D. programs for certain courses, and will continue to be an important manual for market professionals.
7 573,60 руб.
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