Bank And Financial Institution Modeling

Market Risk and Financial Markets Modeling by didier sornette (repost)  eBooks & eLearning

Posted by manamba13 at Jan. 5, 2015
Market Risk and Financial Markets Modeling by didier sornette (repost)

Market Risk and Financial Markets Modeling by didier sornette
English | Feby 4, 2012 | ISBN: 3642279309 | 268 Pages | PDF | 6 MB

The current financial crisis has revealed serious flaws in models, measures and, potentially, theories, that failed to provide forward-looking expectations for upcoming losses originated from market risks. The Proceedings of the Perm Winter School 2011 propose insights on many key issues and advances in financial markets modeling and risk measurement aiming to bridge the gap. The key addressed topics include: hierarchical and ultrametric models of financial crashes, dynamic hedging, arbitrage free modeling the term structure of interest rates, agent based modeling of order flow, asset pricing in a fractional market, hedge funds performance and many more.

Market Risk and Financial Markets Modeling (repost)  eBooks & eLearning

Posted by Veslefrikk at April 17, 2014
Market Risk and Financial Markets Modeling (repost)

Didier Sornette, Sergey Ivliev, "Market Risk and Financial Markets Modeling"
English | 2012 | ISBN: 3642279309 | 267 pages | PDF | 5 MB

Market Risk and Financial Markets Modeling (Repost)  eBooks & eLearning

Posted by nebulae at Jan. 20, 2013
Market Risk and Financial Markets Modeling (Repost)

Didier Sornette, Sergey Ivliev, "Market Risk and Financial Markets Modeling"
English | 2012 | ISBN: 3642279309 | 267 pages | PDF | 5 MB

Market Risk and Financial Markets Modeling  eBooks & eLearning

Posted by tot167 at March 5, 2012
Market Risk and Financial Markets Modeling

Didier Sornette, Sergey Ivliev, "Market Risk and Financial Markets Modeling"
S,,,ger | 2012 | ISBN: 3642279309 | 267 pages | PDF | 5,7 MB

Risk Management and Financial Institutions (5th edition)  eBooks & eLearning

Posted by arundhati at April 13, 2018
Risk Management and Financial Institutions (5th edition)

John C. Hull, "Risk Management and Financial Institutions (5th edition)"
2018 | ISBN-10: 1119448115 | 832 pages | PDF, EPUB | 7 + 5 MB

Risk Management and Financial Institutions  eBooks & eLearning

Posted by viserion at April 5, 2015
Risk Management and Financial Institutions

John C. Hull, "Risk Management and Financial Institutions, 4th Edition"
ISBN: 1118955943 | 2015 | PDF | 752 pages | 7 MB

Contemporary Trends in Accounting, Finance and Financial Institutions (repost)  eBooks & eLearning

Posted by hill0 at June 14, 2018
Contemporary Trends in Accounting, Finance and Financial Institutions (repost)

Contemporary Trends in Accounting, Finance and Financial Institutions: Proceedings from the International Conference on Accounting, Finance and Financial Institutions (ICAFFI), Poznan 2016 By Taufiq Choudhry
English | 2018 | ISBN: 331972861X | 156 Pages | PDF | 2.85 MB

Energy Markets and Responsive Grids: Modeling, Control, and Optimization  eBooks & eLearning

Posted by AvaxGenius at June 9, 2018
Energy Markets and Responsive Grids: Modeling, Control, and Optimization

Energy Markets and Responsive Grids: Modeling, Control, and Optimization by Sean Meyn
English | PDF,EPUB | 2018 | 516 Pages | ISBN : 1493978217 | 60.09 MB

This volume consists of selected essays by participants of the workshop Control at Large Scales: Energy Markets and Responsive Grids held at the Institute for Mathematics and its Applications, Minneapolis, Minnesota, U.S.A. from May 9-13, 2016. The workshop brought together a diverse group of experts to discuss current and future challenges in energy markets and controls, along with potential solutions.

Monetary and Financial Policy in the Euro Area: An Introduction  eBooks & eLearning

Posted by AvaxGenius at June 1, 2018
Monetary and Financial Policy in the Euro Area: An Introduction

Monetary and Financial Policy in the Euro Area: An Introduction By Maximilian Fandl
English | PDF,EPUB | 2018 | 193 Pages | ISBN : 3319726420 | 23.18 MB

This textbook provides a comprehensive overview of monetary policy, banking supervision and financial stability in the euro area. The author uses his professional experience in central banking to provide a thorough understanding of European economics and to explore how the monetary and financial system functions. The book takes into account the profound changes that resulted from crisis developments in recent years, such as the implementation of quantitative easing or the establishment of the Single Supervisory Mechanism (SSM). The author also invites readers to develop their thoughts on alternative policies to shape the monetary and financial system of the future. The textbook is tailor-made for intermediate courses in economics but will also appeal to those preparing a career in central banking or financial regulation.

The World Bank and HIV/AIDS: Setting a global agenda (Repost)  eBooks & eLearning

Posted by DZ123 at April 27, 2018
The World Bank and HIV/AIDS: Setting a global agenda (Repost)

Sophie Harman, "The World Bank and HIV/AIDS: Setting a global agenda"
English | 2010 | ISBN: 0415562902 | PDF | pages: 193 | 3.2 mb