Wspc imprint: 2707 books

by Akihiko Takahashi, Yukio Muromachi, Hidetaka Nakaoka
Language: English
Release Date: May 21, 2012

This book is the Proceedings of the International Workshop on Finance 2011, held in Kyoto in the summer of 2011 with the aim of exchanging new ideas in financial engineering among researchers from various countries from both academia and industry. The workshop was held as a successor to the Daiwa...
by Hendrik Van den Berg
Language: English
Release Date: February 22, 2016

International Finance and Open-Economy Macroeconomics provides a complete theoretical, historical, and policy-focused account of the international financial system that covers all of the standard topics, such as foreign exchange markets, balance of payments accounting, macroeconomic policy in an open...
by John Gilbert, Edward Tower
Language: English
Release Date: November 29, 2012

This volume provides a practical guide to building and using simulation models for international trade theory and policy. Through a sequence of carefully constructed and fully documented programs, the volume illustrates how numerical simulation can be used to analyze a wide array of problems. Modern...
by Charles-Albert Lehalle, Sophie Laruelle
Language: English
Release Date: November 5, 2013

Market Microstructure in Practice comments on the consequences of Reg NMS and MiFID on market microstructure. It covers changes in market design, electronic trading, and investor and trader behaviors. The emergence of high frequency trading and critical events like the “Flash Crash” of 2010 are...
by Jan W Dash
Language: English
Release Date: May 10, 2016

Written by a physicist with extensive experience as a risk/finance quant, this book treats a wide variety of topics. Presenting the theory and practice of quantitative finance and risk, it delves into the "how to" and "what it's like" aspects not covered in textbooks or papers....
by Charles-Albert Lehalle, Sophie Laruelle
Language: English
Release Date: January 18, 2018

This book exposes and comments on the consequences of Reg NMS and MiFID on market microstructure. It covers changes in market design, electronic trading, and investor and trader behaviors. The emergence of high frequency trading and critical events like the"Flash Crash" of 2010 are also...

The Strategic Analysis of Financial Markets

(In 2 Volumes)Volume 1: FrameworkVolume 2: Trading System Analytics

by Steven D Moffitt
Language: English
Release Date: March 24, 2017

Volume 1 of "The Strategic Analysis of Financial Markets," — Framework, is premised on the belief that markets can be understood only by dropping the assumptions of rationality and efficient markets in their extreme forms, and showing that markets still have an inherent order and inherent...
by Hongzhong Zhang
Language: English
Release Date: May 4, 2018

Stochastic Drawdowns consists of some recent advances on Dr Hongzhong Zhang's own quantitative research of the well-known risk measures, drawdowns and maximum drawdowns. In this book, the author provides an extensive probabilistic study of different aspects of drawdown risks, which include the drawdown...
by T W Epps
Language: English
Release Date: August 16, 2013

This book presents the theory of probability and mathematical statistics at a level suitable for researchers at the frontiers of applied disciplines. Examples and exercises make essential concepts in measure theory and analysis accessible to those with preparation limited to vector calculus. Complete,...

Information Systems

The Connection of People and Resources for Innovation — A Textbook

by Cheng Hsu
Language: English
Release Date: January 25, 2013

This unique new textbook on Information Systems (IS) provides an answer to a few basic questions in the field: What is the scientific nature of IS? How do we design IS in today's connected world? What is the relationship between IS and innovation in knowledge economies? Whereas mainframe corporate...

Architecting Experience

A Marketing Science and Digital Analytics Handbook

by Scot R Wheeler
Language: English
Release Date: December 16, 2015

In a world with a seemingly infinite amount of content and scores of methods for consuming that content, marketing communication today is about appealing to individuals, person by person. Effectively appealing to customers requires delivery of brand experiences built on relevance and recognition of...

Managing and Measuring Risk

Emerging Global Standards and Regulations After the Financial Crisis

by Oliviero Roggi, Edward I Altman
Language: English
Release Date: February 20, 2013

This edited volume presents the most recent achievements in risk measurement and management, as well as regulation of the financial industry, with contributions from prominent scholars and practitioners such as Robert Engle, 2003 Nobel Laureate in Economics, Viral Acharya, Torben Andersen, Zvi Bodie,...
by Risk Management Institute, Singapore
Language: English
Release Date: October 1, 2012

This annual publication provides an overview of the most important developments in global credit markets and the regulatory landscape. It covers theoretical and empirical research on credit ratings and credit risk, and reports on recent findings and evolutions of the Risk Management Institute's Credit...
by Masayuki Susai, Shigeru Uchida
Language: English
Release Date: January 31, 2011

This book will be an important addition to the limited number of books that discuss finance and accounting issues in East Asian countries. While presenting recent empirical studies on finance and accounting in East Asian economies, it also reveals the underlying reasons for remarkable economic growth...
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