Palgrave Macmillan: 11161 books

Cover of Best Practices in Management Accounting
by
Language: English
Release Date: December 15, 2011

Management accounting has undergone significant evolution moving away from rigid budgeting programs and static output measures to comprehensive approaches of value identification and measurement. The book provides case studies, commentary and analysis from international experts in management accounting across the contemporary focus areas.
Cover of Risk Tolerance in Financial Decision Making
by
Language: English
Release Date: December 3, 2010

This book sheds light on the emotional side of risk taking behaviour using an innovative cross-disciplinary approach, mixing financial competences with psychology and affective neuroscience. In doing so, it shows the implications for market participants and regulators in terms of transparency and communication between intermediaries and customers.
Cover of Volatile Capital Flows in Korea

Volatile Capital Flows in Korea

Current Policies and Future Responses

by
Language: English
Release Date: December 17, 2014

Volatility in Korean Capital Markets summarizes the Korean experience of volatile capital flows, analyzes the economic consequences, evaluates the policy measures adopted, and suggests new measures for the future.
Cover of Promoting Microfinance

Promoting Microfinance

Challenges and Innovations in Developing Countries and Countries in Transition

by
Language: English
Release Date: November 26, 2013

Promoting Microfinance brings together essays and empirical work by leading researchers and practitioners in the field of microfinance. It covers key issues currently facing the microfinance industry and provides an overview of the microfinance industry in selected countries/regions, pointing to the direction in which it is heading.
Cover of Investment Beliefs

Investment Beliefs

A Positive Approach to Institutional Investing

by K. Koedijk, A. Slager
Language: English
Release Date: December 8, 2010

Having the right investment beliefs and putting them into practice is key to delivering the right results. Decision makers in the investment industry should worry less about the stocks and products they pick for their clients and more about getting the big picture right; developing investment beliefs are instrumental in making the right choices.
Cover of Credit Portfolio Management

Credit Portfolio Management

A Practitioner's Guide to the Active Management of Credit Risks

by Michael Hünseler
Language: English
Release Date: July 30, 2013

Credit Portfolio Management is a topical text on approaches to the active management of credit risks. The book is a valuable, up to date guide for portfolio management practitioners. Its content comprises of three main parts: The framework for managing credit risks, Active Credit Portfolio Management in practice and Hedging techniques and toolkits.
Cover of The Portfolio Theorists

The Portfolio Theorists

von Neumann, Savage, Arrow and Markowitz

by C. Read
Language: English
Release Date: December 7, 2011

Read examines probability, risk, and uncertainty through the contributions of John von Neumann, Leonard Jimmie Savage, Kenneth Arrow and Harry Markowitz. These Portfolio Theorists provided us with a dramatic leap forward in our understanding of and insights into financial rewards under risk and uncertainty.
Cover of The Trustee Guide to Investment
by A. Clare, C. Wagstaff
Language: English
Release Date: November 22, 2011

The Trustee Guide to Investment is a unique and refreshingly practical guide to the expanding range of markets, investments, tools and techniques to which pension scheme trustees must now become familiar.
Cover of Alaska’s Permanent Fund Dividend

Alaska’s Permanent Fund Dividend

Examining Its Suitability as a Model

by
Language: English
Release Date: February 14, 2012

Contributors discuss the Alaska Permanent Fund (APF) and Permanent Fund Dividend (PFD) as a model both for resource policy and for social policy. This book explores whether other states, nations, or regions would benefit from an Alaskan-style dividend. The book also looks at possible ways that the model might be altered and improved.
Cover of Corporate Income Tax Harmonization in the European Union
by D. Pîrvu
Language: English
Release Date: August 13, 2012

Through the arguments for corporate tax harmonization in the EU and describing the current stage of this process, the legislative rules which are insufficient to solve the many problems implied by the proper functioning of the Single Market, are revealed. The book also exposes the issues involved in the consolidation of the corporate tax base.
Cover of The Future of Private Equity

The Future of Private Equity

Beyond the Mega Buyout

by Mark Bishop
Language: English
Release Date: October 2, 2012

The easy money that flowed through the banking system prior to 2008 fueled a boom in buy-outs. Now it is gone, how will the private equity industry reinvent itself? A series of interviews with some of the most respected and innovative firms, give rare insights to the strategies that will drive this secretive sector over the next economic cycle.
Cover of US Withholding Tax

US Withholding Tax

Practical Implications of QI and FATCA

by R. McGill
Language: English
Release Date: October 30, 2013

The US is the world's largest capital market. Its withholding tax system is also the most complex. This book is essential reading for investors and intermediaries trying to comply with US QI and FATCA tax regulations. It guides the reader through these complex regulations with simple and practical insights into how to meet these compliance burdens.
Cover of Key Concepts in Accounting and Finance
by Jonathan Sutherland, Diane Canwell
Language: English
Release Date: March 15, 2004

Key Concepts in Accounting and Finance is one of a range of comprehensive glossaries with entries arranged alphabetically for easy reference. All major concepts, terms, theories and theorists are incorporated and cross-referenced. Additional reading and Internet research opportunities are identified....
Cover of Risk and Return in Asian Emerging Markets
by N. Cakici, K. Topyan
Language: English
Release Date: August 13, 2014

Risk and Return in Asian Emerging Markets offers readers a firm insight into the risk and return characteristics of leading Asian emerging market participants by comparing and contrasting behavioral model variables with predictive forecasting methods.
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