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Portfolio Flows, Global Risk Aversion and Asset Prices in Emerging Markets

by Nasha Ananchotikul & Longmei Zhang

In recent years, portfolio flows to emerging markets have become increasingly large and volatile. Using weekly portfolio fund flows data, the paper finds that their short-run dynamics are driven mostly by global...


Financial Innovation, Regulation and Crises in History

by Piet Clement, Harold James & Herman Van der Wee

With present concerns over the regulation of the banking industry continuing to make headlines, an examination of the historiography of financial crises is timely. With contributions from world-renowned figures...


The Murder of the Middle Class

by Wayne Allyn Root

The great American middle class is dying—and not from natural causes. The Murder of the Middle Class exposes the crime and indicts the conspirators, from the Obama administration to their willing accomplices...


Accounting for the Numberphobic: A Survival Guide for Small Business Owners

by Dawn Fotopulus

Without a working knowledge of their financial statements, small-business owners' have no hope of success. Demystifying a company's financial dashboard (the Net Income Statement, Cash Flow Statement, and Balance...


Trend Trading for Dummies

by Barry Burns

Trend trading lets the market do the work for you

Is your portfolio doing all it should? Are you looking for a market-focused way to increase returns? Try your hand at trend trading. Instead of analyzing the...


Financial Statements Analysis: Cases from Corporate India: Cases from Corporate India

by Sandeep Goel

Financial analysis is integral to business sustainability in determining an organisation's financial viability and revealing its strengths and weaknesses, a key requirement in today's competitive business environment....


The Effects of Unconventional Monetary Policies on Bank Soundness

by Frederic Lambert & Kenichi Ueda

Unconventional monetary policy is often assumed to benefit banks. However, we find little supporting evidence. Rather, we find some evidence for heightened medium-term risks. First, in an event study using a...


Executive Finance and Strategy: How to Understand and Use Financial Information to Set Strategic Goals

by Ralph Tiffin

Many strategies are explained as actions that will achieve the desired goals or visions of the company, but in order to predict the success of your strategy it is vital to gain an understanding of how it will...


Do the Type of Sukuk and Choice of Shari'a Scholar Matter?

by Christophe Godlewski & Rima Turk Ariss

Sukuk, the shari’a-compliant alternative mode of financing to conventional bonds, have expanded considerably over the last decade. We analyze the stock market reaction to two key features of this financial...


Islamic Finance in Sub-Saharan Africa : Status and Prospects

by E. Gelbard & Mumtaz Hussain

Islamic finance is a fast growing activity in world markets. This paper provides a survey on Islamic Finance in SSA. Ongoing activities include Islamic banking, sukuk issuances (to finance infrastructure projects),...


Handbook in Monte Carlo Simulation: Applications in Financial Engineering, Risk Management, and Economics

by Paolo Brandimarte

An accessible treatment of Monte Carlo methods, techniques, and applications in the field of finance and economics

Providing readers with an in-depth and comprehensive guide, the Handbook in Monte Carlo Simulation:...


Measuring Competition in the Financial Industry: The Performance-Conduct-Structure Indicator: The Performance-Conduct-Structure Indicator

by Jacob A Bikker & Michiel van Leuvensteijn

The 2008 credit crisis started with the failure of one large bank: Lehman Brothers. Since then the focus of both politicians and regulators has been on stabilising the economy and preventing future financial...


Balance Sheet Repair and Corporate Investment in Japan

by Joong Shik Kang

We trace Japanese firms’ behavior over the last decades using aggregate corporate balance sheet data. Financial health of Japanese corporate sector has improved and firms paid back significant amount of debt...


Doddâ¿¿Frank Wall Street Reform and Consumer Protection Act: Purpose, Critique, Implementation Status and Policy Issues

by DOUGLAS D EVANOFF & William F Moeller

In this volume, what are thought to be some of the more important aspects of the Dodd–Frank Act are discussed from a number of perspectives, including that of industry scholars who have been actively involved...


People's Republic of China : 2014 Article IV Consultation-Staff Report; Press Release; and Statement by the Executive Director for the People's Republ

by International Monetary Fund. Asia Dept

KEY ISSUES Context. After three decades of remarkable growth, the economy has been slowing. Much of the slowdown has been structural, reflecting the natural convergence process and waning dividends from past...


United Kingdom :  2014 Article IV Consultation-Staff Report; Press Release; and Statement by the Executive Director for the United Kingdom

by International Monetary Fund. Euro Dept.

KEY ISSUES The economy has rebounded strongly and prospects are promising. Headwinds that previously held back the economy—relating notably to credit conditions and confidence—have eased. Nonetheless, sustaining...


International Approaches to Real Estate Development

by Graham Squires & Erwin Heurkens

An international approach to the study and teaching of real estate is increasingly important in today's global market. With chapters covering numerous countries and every continent, International Approaches...


Democracy and Diversity in Financial Regulation

by Nicholas Dorn

Financial markets have become acknowledged as a source of crisis, and discussion of them has shifted from economics, through legal and regulatory studies, to politics. Events from 2008 onwards raise important,...


International Finance Regulation: The Quest for Financial Stability

by Georges Ugeux

As the global market expands, the need for international regulation becomes urgent

Since World War II, financial crises have been the result of macroeconomic instability until the fatidic week end of September...


Macroprudential Solvency Stress Testing of the Insurance Sector

by Andreas A. Jobst & Nobuyasu Sugimoto

Over the last decade, stress testing has become a central aspect of the Fund’s bilateral and multilateral surveillance work. Recently, more emphasis has also been placed on the role of insurance for financial...