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The Impact of the Global Financial Crisis on Emerging Financial Markets
  • Language: en
  • Pages: 745

The Impact of the Global Financial Crisis on Emerging Financial Markets

The Global Financial Crisis of 2007-2009 has highlighted the resilience of the financial markets and economies from the developing world. This title investigates and assesses the impact and response to the crisis from an emerging markets perspective including asset pricing, contagion, financial intermediation, market structure and regulation.

Emerging European Financial Markets
  • Language: en
  • Pages: 515

Emerging European Financial Markets

  • Type: Book
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  • Published: 2006
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  • Publisher: JAI Press

Provides a perspective on the problems associated with financial market development in the emerging European economies.

Risk Management Post Financial Crisis
  • Language: en
  • Pages: 455

Risk Management Post Financial Crisis

Risk Management Post Financial Crisis: A Period of Monetary Easing provides further insights into postcrisis developments in the global economic and financial environment including advances in measuring and reporting risk and liquidity. Contributions come from leading banks, international organisations and worldrenowned universities.

Advances in Financial Risk Management
  • Language: en
  • Pages: 422

Advances in Financial Risk Management

  • Type: Book
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  • Published: 2015-12-04
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  • Publisher: Springer

The latest research on measuring, managing and pricing financial risk. Three broad perspectives are considered: financial risk in non-financial corporations; in financial intermediaries such as banks; and finally within the context of a portfolio of securities of different credit quality and marketability.

Asia-Pacific Fixed Income Markets
  • Language: en
  • Pages: 412

Asia-Pacific Fixed Income Markets

  • Type: Book
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  • Published: 2002-02
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  • Publisher: Unknown

As stability has begun to return to the Asia-Pacific region, so do international investors' appetites for high-yielding Asian securities. Right now, due to the substantial bank debt accrued during the last financial crisis there, the liveliest investment areas in the Asian-Pacific region are fixed income instruments. Authors Jonathan A. Batten and Thomas A. Fetherston provide country-by-country analyses, including highly-focused descriptions of the history, current disposition, and future prospects of each country's bond markets, along with detailed explanations of the market structure and conventions in each. Jonathan Batten is a Professor of Finance at Deakin University. His professional experience includes senior posts at the Australian Industry Development Corporation, The Bank of Tokyo, Credit Lyonnais and IBM Consulting in their Asia-Pacific Banking and Finance Group.

Applied Financial Modelling
  • Language: en
  • Pages: 353

Applied Financial Modelling

  • Type: Book
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  • Published: 2021
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  • Publisher: Unknown

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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.

European Fixed Income Markets
  • Language: en
  • Pages: 504

European Fixed Income Markets

The introduction of the euro in 1999 cast a new focus on the financial markets of constituent euro-zone countries, which have subsequently emerged with the second largest bond market in the world. This new book offers in depth insights and advice for any practitioner in the European fixed-income and ancillary derivative markets, and includes in-depth analysis of euro and non-euro markets as well as emerging countries.

Financial Risk and Financial Risk Management
  • Language: en
  • Pages: 568

Financial Risk and Financial Risk Management

Financial risk variables arise in the form of interest rate, foreign exchange, equity and commodity risk. This book provides insight on those risk variables. It aims to provide the laymen and professionals with analysis, theoretical risk measurement models and findings that will extend their understanding of the financial risk environment.

Research in International Business and Finance
  • Language: en
  • Pages: 484

Research in International Business and Finance

  • Type: Book
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  • Published: 2003
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  • Publisher: Unknown

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