Liquidity How to Find it, Regulate it, Get it /
| Collectivité auteur: | SpringerLink (Online service) |
|---|---|
| Autres auteurs: | Schwartz, Robert A. (Éditeur intellectuel), Byrne, John Aidan (Éditeur intellectuel), Stempel, Eileen (Éditeur intellectuel) |
| Résumé: | X, 100 p. 12 illus., 11 illus. in color. text |
| Langue: | anglais |
| Publié: |
Cham :
Springer International Publishing : Imprint: Springer,
2023.
|
| Édition: | 1st ed. 2023. |
| Collection: | Zicklin School of Business Financial Markets Series,
|
| Sujets: | |
| Accès en ligne: | https://doi.org/10.1007/978-3-031-36914-8 |
| Format: | Électronique Livre |
Documents similaires
The Practice of Lending A Guide to Credit Analysis and Credit Risk /
par: Yhip, Terence M., et autres
Publié: (2020)
par: Yhip, Terence M., et autres
Publié: (2020)
The Validation of Risk Models A Handbook for Practitioners /
par: Scandizzo, S.
Publié: (2016)
par: Scandizzo, S.
Publié: (2016)
A Guidebook for Today's Asian Investor The Common Sense Guide to Preserving Wealth in a Turbulent World /
par: VonCannon, Bruce
Publié: (2017)
par: VonCannon, Bruce
Publié: (2017)
40 Years of Experience with the National Market System (NMS) Who Are the Winners and What Have We Learned? /
Publié: (2022)
Publié: (2022)
The Bank-Business Relationship Information Asymmetries, Relationship Lending, and Regulation /
par: Brighi, Paola, et autres
Publié: (2025)
par: Brighi, Paola, et autres
Publié: (2025)
ESG Factors and Financial Outcomes in Banks Quantitative Insights into the ESG-Cost of Debt Relationship /
par: Del Sarto, Nicola
Publié: (2025)
par: Del Sarto, Nicola
Publié: (2025)
Integrated Reporting A New Accounting Disclosure /
Publié: (2016)
Publié: (2016)
Equity Derivatives and Hybrids Markets, Models and Methods /
par: Brockhaus, Oliver
Publié: (2016)
par: Brockhaus, Oliver
Publié: (2016)
Risk Management in Finance and Logistics
par: Xu, Chunhui, et autres
Publié: (2018)
par: Xu, Chunhui, et autres
Publié: (2018)
The New Frontier Investors How Pension Funds, Sovereign Funds, and Endowments are Changing the Business of Investment Management and Long-Term Investing /
par: Singh Bachher, Jagdeep, et autres
Publié: (2016)
par: Singh Bachher, Jagdeep, et autres
Publié: (2016)
Security Analysis and Portfolio Management A Primer /
par: Singh, Shveta, et autres
Publié: (2021)
par: Singh, Shveta, et autres
Publié: (2021)
Theoretical Foundations of Investment Banking
par: Krause, Andreas
Publié: (2024)
par: Krause, Andreas
Publié: (2024)
Assessing Relative Valuation in Equity Markets Bridging Research and Practice /
par: Rossi, Emanuele, et autres
Publié: (2016)
par: Rossi, Emanuele, et autres
Publié: (2016)
Corporate Fraud and Corruption A Holistic Approach to Preventing Financial Crises /
par: Krambia-Kapardis, M.
Publié: (2016)
par: Krambia-Kapardis, M.
Publié: (2016)
Credit Risk Management Pricing, Measurement, and Modeling /
par: Witzany, Jiří
Publié: (2017)
par: Witzany, Jiří
Publié: (2017)
New Methods in Fixed Income Modeling Fixed Income Modeling /
Publié: (2018)
Publié: (2018)
Derivatives and Internal Models Modern Risk Management /
par: Deutsch, Hans-Peter, et autres
Publié: (2019)
par: Deutsch, Hans-Peter, et autres
Publié: (2019)
Sovereign Debt and Rating Agency Bias
par: Tennant, D., et autres
Publié: (2016)
par: Tennant, D., et autres
Publié: (2016)
Solvency II in the Insurance Industry Application of a Non-Life Data Model /
Publié: (2018)
Publié: (2018)
Valuing Banks A New Corporate Finance Approach /
par: Beltrame, Federico, et autres
Publié: (2016)
par: Beltrame, Federico, et autres
Publié: (2016)
Global Risk Agility and Decision Making Organizational Resilience in the Era of Man-Made Risk /
par: Wagner, Daniel, et autres
Publié: (2016)
par: Wagner, Daniel, et autres
Publié: (2016)
Modelling Economic Capital Practical Credit-Risk Methodologies, Applications, and Implementation Details /
par: Bolder, David Jamieson
Publié: (2022)
par: Bolder, David Jamieson
Publié: (2022)
Behavioral Risk Management Managing the Psychology That Drives Decisions and Influences Operational Risk /
par: Shefrin, Hersh
Publié: (2016)
par: Shefrin, Hersh
Publié: (2016)
Fundamentals of the Insurance Business
par: Maggioni, Massimiliano, et autres
Publié: (2024)
par: Maggioni, Massimiliano, et autres
Publié: (2024)
Fixed Income Analytics Bonds in High and Low Interest Rate Environments /
par: Marty, Wolfgang
Publié: (2017)
par: Marty, Wolfgang
Publié: (2017)
Fixed Income Analytics Bonds in High and Low Interest Rate Environments /
par: Marty, Wolfgang
Publié: (2020)
par: Marty, Wolfgang
Publié: (2020)
Artificial Intelligence in Financial Markets Cutting Edge Applications for Risk Management, Portfolio Optimization and Economics /
Publié: (2016)
Publié: (2016)
Asset Management and Institutional Investors
Publié: (2016)
Publié: (2016)
Asset Management and Institutional Investors Methods and Tools for Asset Allocation, Portfolio Management and Performance Evaluation /
Publié: (2024)
Publié: (2024)
Business Valuation and Company Value New Qualitative Approaches Considering Business and Financial Risks /
par: Brusov, Peter, et autres
Publié: (2025)
par: Brusov, Peter, et autres
Publié: (2025)
Financial Risk Management and Modeling
Publié: (2021)
Publié: (2021)
Credit-Risk Modelling Theoretical Foundations, Diagnostic Tools, Practical Examples, and Numerical Recipes in Python /
par: Bolder, David Jamieson
Publié: (2018)
par: Bolder, David Jamieson
Publié: (2018)
Longevity Finance A Holistic Approach to Longevity for a Sustainable Future /
Publié: (2025)
Publié: (2025)
Cryptofinance and Mechanisms of Exchange The Making of Virtual Currency /
Publié: (2019)
Publié: (2019)
The Evolution of Yield Management in the Airline Industry Origins to the Last Frontier /
par: Vinod, Ben
Publié: (2021)
par: Vinod, Ben
Publié: (2021)
Liquidity Dynamics and Risk Modeling Navigating Trading and Investment Portfolios Frontiers with Machine Learning Algorithms /
par: Al Janabi, Mazin A. M.
Publié: (2024)
par: Al Janabi, Mazin A. M.
Publié: (2024)
The Trade and Receivables Finance Companion A Collection of Case Studies and Solutions /
par: Jones, Stephen A.
Publié: (2019)
par: Jones, Stephen A.
Publié: (2019)
Trade and Receivables Finance A Practical Guide to Risk Evaluation and Structuring /
par: Jones, Stephen A.
Publié: (2018)
par: Jones, Stephen A.
Publié: (2018)
Project Finance Structuring, Valuation and Risk Management for Major Projects /
par: Kumar, B Rajesh
Publié: (2022)
par: Kumar, B Rajesh
Publié: (2022)
The Handbook of Global Shadow Banking, Volume I From Policy to Regulation /
par: Nijs, Luc
Publié: (2020)
par: Nijs, Luc
Publié: (2020)
Documents similaires
-
The Practice of Lending A Guide to Credit Analysis and Credit Risk /
par: Yhip, Terence M., et autres
Publié: (2020) -
The Validation of Risk Models A Handbook for Practitioners /
par: Scandizzo, S.
Publié: (2016) -
A Guidebook for Today's Asian Investor The Common Sense Guide to Preserving Wealth in a Turbulent World /
par: VonCannon, Bruce
Publié: (2017) -
40 Years of Experience with the National Market System (NMS) Who Are the Winners and What Have We Learned? /
Publié: (2022) -
The Bank-Business Relationship Information Asymmetries, Relationship Lending, and Regulation /
par: Brighi, Paola, et autres
Publié: (2025)