Книги жанра Финансовый менеджмент
Andrew M. Chisholmзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
Derivatives are everywhere in the modern world and it is important for everyone in banking, investment and finance to have a good understand…
Derivatives are everywhere in the modern world and it is important for everyone in banking, investment and finance to have a good understand…
Xin Xieзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
A fresh approach to technical analysis utilizing a full view (multi-time frame) integrated analytical system. Has the bear market ended? Is …
A fresh approach to technical analysis utilizing a full view (multi-time frame) integrated analytical system. Has the bear market ended? Is …
Brent Penfoldзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
The Universal Principles of Successful Trading clearly and unambiguously articulates trading principles that distinguish the winners from th…
The Universal Principles of Successful Trading clearly and unambiguously articulates trading principles that distinguish the winners from th…
Ian Copseyзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
An update to the Elliot Wave Principle that corrects a fundamental error The Elliot Wave Principle has been widely adopted as a tool for tra…
An update to the Elliot Wave Principle that corrects a fundamental error The Elliot Wave Principle has been widely adopted as a tool for tra…
Schwartz Danзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
Dan Schwartz has done a masterful job of synthesizing the thoughts of some of the best minds in the private equity business along with his o…
Dan Schwartz has done a masterful job of synthesizing the thoughts of some of the best minds in the private equity business along with his o…
Jon Gregoryзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
The first decade of the 21st Century has been disastrous for financial institutions, derivatives and risk management. Counterparty credit ri…
The first decade of the 21st Century has been disastrous for financial institutions, derivatives and risk management. Counterparty credit ri…
Antonio Castagnaзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
The FX options market represents one of the most liquid and strongly competitive markets in the world, and features many technical subtletie…
The FX options market represents one of the most liquid and strongly competitive markets in the world, and features many technical subtletie…
David Lawlerзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
A practical guide to addressing the challenges managers face in implementing and enforcing new anti-bribery regulations The Bribery Act beca…
A practical guide to addressing the challenges managers face in implementing and enforcing new anti-bribery regulations The Bribery Act beca…
Manoj Thulasidasзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
Principles of Quantitative Development is a practical guide to designing, building and deploying a trading platform. It is also a lucid and …
Principles of Quantitative Development is a practical guide to designing, building and deploying a trading platform. It is also a lucid and …
Malcolm Kempзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
Achieving market consistency can be challenging, even for the most established finance practitioners. In Market Consistency: Model Calibrati…
Achieving market consistency can be challenging, even for the most established finance practitioners. In Market Consistency: Model Calibrati…
Jeffery Tieзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
A great reference for all beginner traders. Aiki Trading will look at a robust method to understand what the market is doing in a specified …
A great reference for all beginner traders. Aiki Trading will look at a robust method to understand what the market is doing in a specified …
Mario Cerratoзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
Quantitative Finance is expanding rapidly. One of the aspects of the recent financial crisis is that, given the complexity of financial prod…
Quantitative Finance is expanding rapidly. One of the aspects of the recent financial crisis is that, given the complexity of financial prod…
Elie Ayacheзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
October 19th 1987 was a day of huge change for the global finance industry. On this day the stock market crashed, the Nobel Prize winning Bl…
October 19th 1987 was a day of huge change for the global finance industry. On this day the stock market crashed, the Nobel Prize winning Bl…
Leshik Edwardзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
Interest in algorithmic trading is growing massively – it’s cheaper, faster and better to control than standard trading, it enables you to ‘…
Interest in algorithmic trading is growing massively – it’s cheaper, faster and better to control than standard trading, it enables you to ‘…
Goossens Sergeзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
Credit derivatives have been instrumental in the recent increase in securitization activity. The complex nature and the size of the market h…
Credit derivatives have been instrumental in the recent increase in securitization activity. The complex nature and the size of the market h…
Creelman Jamesзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
How to tap the power of the balanced scorecard, for financial services organizations Designed to help financial services organizations build…
How to tap the power of the balanced scorecard, for financial services organizations Designed to help financial services organizations build…
Alexander Carolзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
The value-at-risk measurement methodology is a widely-used tool in financial market risk management. The fifth edition of Professor Moorad C…
The value-at-risk measurement methodology is a widely-used tool in financial market risk management. The fifth edition of Professor Moorad C…
Osseiran Adelзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
The recent financial crisis brought to light many of the misunderstandings and misuses of exotic derivatives. With market participants on bo…
The recent financial crisis brought to light many of the misunderstandings and misuses of exotic derivatives. With market participants on bo…
Ariane Chapelleзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
Praise for Operational Risk Management «Ariane Chapelle is one of the world's leading teachers, thinkers and writers about operational risk.…
Praise for Operational Risk Management «Ariane Chapelle is one of the world's leading teachers, thinkers and writers about operational risk.…
Amato Massimoзарубежная деловая литература, корпоративные финансы, финансовый менеджмент
This new book by two distinguished Italian economists is a highly original contribution to our understanding of the origins and aftermath of…
This new book by two distinguished Italian economists is a highly original contribution to our understanding of the origins and aftermath of…

































