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2021 cfa program curriculum level ii box set, Cfa Institute


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Цена: 30096.00р.
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Наличие: Отсутствует. Возможна поставка под заказ.

При оформлении заказа до: 2026-05-14
Ориентировочная дата поставки: Июнь
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Автор: Cfa Institute
Название:  2021 cfa program curriculum level ii box set
ISBN: 9781950157617
Издательство: Wiley
Классификация:
ISBN-10: 195015761X
Обложка/Формат: Paperback
Страницы: 120
Вес: 6.13 кг.
Дата издания: 13.05.2021
Язык: English
Размер: 302 x 245 x 138
Читательская аудитория: Professional & vocational
Ссылка на Издательство: Link
Рейтинг:
Поставляется из: Англии
Описание: Ireland`s Causeway Coast Way runs for 32 miles (51 km) of unspoiled scenery past the legendary Giant`s Causeway. The route offers easy-going walking, welcoming B&Bs and pubs and it combines well with a trip to Rathlin Island. This book has clear route maps and directions, with features on the Giant`s Causeway and Rathlin Island, and is lightweight.


Quantitative Investment Analysis, Workbook

Автор: Cfa Institute
Название: Quantitative Investment Analysis, Workbook
ISBN: 1119743672 ISBN-13(EAN): 9781119743675
Издательство: Wiley
Рейтинг:
Цена: 6018.00 р.
Наличие на складе: Поставка под заказ.

Описание: Compares structural and Bayesian models to the random walk benchmark in forecasting exchange rates between South American currencies and the US Dollar, and between the Paraguayan Guarani, Brazilian Real and Argentinian Peso. Forecasts are evaluated using the criteria of Root Mean Square Error, Direction of Change, and the Diebold-Mariano statistic.

The Top Ten Operational Risks: A Survival Guide for Investment Management Firms and Hedge Funds

Автор: Miller Holly H., Lawton Cfa Philip
Название: The Top Ten Operational Risks: A Survival Guide for Investment Management Firms and Hedge Funds
ISBN: 1456367870 ISBN-13(EAN): 9781456367879
Издательство: Неизвестно
Цена: 4302.00 р.
Наличие на складе: Есть у поставщика Поставка под заказ.

Описание: More than ever before, institutional investors and their consultants are probing investment management firms' risk management policies and procedures. Beyond market, credit and liquidity risk, their concern extends to investment managers' back- and middle-office functions. For example, investors and consultants are asking: - Is the firm managed and staffed by qualified people? - Are workflows properly documented and consistently followed? - Are employees cross-trained to handle one another's jobs? - Does the firm keep track of collateral in the hands of prime brokers? - How does the firm plan ahead for changes in the regulatory and competitive environment? In the aftermath of the global financial crisis, clients and prospects want to know the answers to these and many other questions. And they will not entrust assets to organizations whose day-to-day operations are chaotic or whose long-term business prospects are doubtful. "In worst-case scenarios, an investment firm's failure to identify and mitigate operational risk can result in significant direct costs and a devastating loss of reputation," write Holly H. Miller and Philip Lawton. "It may take years to reassure investors, regulators and trading partners that the firm is well-managed." Internationally known as dynamic speakers and engaging writers, the authors of The Top Ten Operational Risks draw upon their extensive practical experience to offer clear, compelling and-above all-useful advice about how to recognize and lessen the risk of loss due to inadequate internal processes, people and systems or external events. Starting with complacency on the part of senior management, each of this book's central chapters addresses one of the ways in which investment management firms may be exposed to unwelcome surprises. There are succinct, readable essays on staffing, training and the special attention due hand-offs among individuals, teams, systems and external service providers. Other chapters focus on technology, workflows and aspects of the segregation of duties that are especially significant in the investment management industry, such as observing the distinction between the firm and the funds it manages. The authors additionally bring their experience to bear on reconciliation gaps, the importance of knowing the firm's counterparties and the regulatory regimes to which they are answerable, and the challenges of effective strategic planning in a rapidly changing marketplace. C-level executives and middle managers in sales and marketing, client and consultant relations, compliance, human resources and internal audit will find The Top Ten Operational Risks intriguing. Their colleagues in risk management and investment operations will find it indispensible. As Milton Ezrati writes in the foreword, "The investment of an hour or two will offer managers numerous ways to improve their firm and their client service and, critically, a means to guard against rather large, unexpected expenses."

Wiley Study Guide for 2016 Level I CFA Exam: Complete Set

Автор: Wiley
Название: Wiley Study Guide for 2016 Level I CFA Exam: Complete Set
ISBN: 1119182794 ISBN-13(EAN): 9781119182795
Издательство: Wiley
Рейтинг:
Цена: 3960.00 р.
Наличие на складе: Поставка под заказ.

Описание: The Wiley Study Guides for the Level I CFA exam are proven to help candidates understand, retain, and master the CFA Program Curriculum, complete with color-coded Study Guides and coverage of every Learning Outcome Statement on the exam.

Capital Markets: Institutions, Instruments, and Risk Management

Автор: Fabozzi Frank J. Cfa
Название: Capital Markets: Institutions, Instruments, and Risk Management
ISBN: 0262029480 ISBN-13(EAN): 9780262029483
Издательство: Random House (USA)
Рейтинг:
Цена: 17932.00 р.
Наличие на складе: Нет в наличии.

Описание:

The substantially revised fifth edition of a textbook covering the wide range of instruments available in financial markets, with a new emphasis on risk management.

Over the last fifty years, an extensive array of instruments for financing, investing, and controlling risk has become available in financial markets, with demand for these innovations driven by the needs of investors and borrowers. The recent financial crisis offered painful lessons on the consequences of ignoring the risks associated with new financial products and strategies. This substantially revised fifth edition of a widely used text covers financial product innovation with a new emphasis on risk management and regulatory reform. Chapters from the previous edition have been updated, and new chapters cover material that reflects recent developments in financial markets.

The book begins with an introduction to financial markets, offering a new chapter that provides an overview of risk -- including the key elements of financial risk management and the identification and quantification of risk. The book then covers market participants, including a new chapter on collective investment products managed by asset management firms; the basics of cash and derivatives markets, with new coverage of financial derivatives and securitization; theories of risk and return, with a new chapter on return distributions and risk measures; the structure of interest rates and the pricing of debt obligations; equity markets; debt markets, including chapters on money market instruments, municipal securities, and credit sensitive securitized products; and advanced coverage of derivative markets. Each chapter ends with a review of key points and questions based on the material covered.


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