Asset Advisor

Security Advisor Middle East - February 2018  Magazines

Posted by Pulitzer at Feb. 13, 2018
Security Advisor Middle East - February 2018

Security Advisor Middle East - February 2018
English | 40 pages | True PDF | 4.0 MB

Global Asset Allocation: New Methods and Applications (Repost)  eBooks & eLearning

Posted by DZ123 at May 23, 2018
Global Asset Allocation: New Methods and Applications (Repost)

Heinz Zimmermann, Wolfgang Drobetz, Peter Oertmann, "Global Asset Allocation: New Methods and Applications"
English | 2002 | ISBN: 0471264261 | PDF | pages: 338 | 12.3 mb
People, Risk, and Security: How to prevent your greatest asset from becoming your greatest liability

People, Risk, and Security: How to prevent your greatest asset from becoming your greatest liability By Lance Wright
English | EPUB | 2017 | 222 Pages | ISBN : 1349950920 | 0.6 MB

Lance Wright shows why business in the 21st century requires a new understanding of the intersection of risk, security, and human resource management. He argues that these areas should no longer be considered separate processes, handled by technical specialists with limited spheres of expertise. People, risk and security management should be treated as a critically important integrated business management system.
The Securitization Markets Handbook: Structures and Dynamics of Mortgage- and Asset-backed Securities (Repost)

The Securitization Markets Handbook: Structures and Dynamics of Mortgage- and Asset-backed Securities by Charles Austin Stone, Anne Zissu
Language: English | 2012 | ISBN: 1118006747 | 437 pages | PDF | 3,45 MB

A comprehensive guide to the continuously evolving world of securitization The Second Edition of The Securitization Markets Handbook is a valuable resource for …
People, Risk, and Security: How to prevent your greatest asset from becoming your greatest liability (repost)

People, Risk, and Security: How to prevent your greatest asset from becoming your greatest liability by Lance Wright
English | 19 Mar. 2017 | ISBN: 1349950920 | 219 Pages | PDF | 4.02 MB

Android Advisor – May 2018  Magazines

Posted by Inshuf at May 18, 2018
Android Advisor – May 2018

Android Advisor – May 2018
English | 104 pages | True PDF | 6.3 MB

Tech Advisor - July 2018  Magazines

Posted by Shor at May 9, 2018
Tech Advisor  - July 2018

Tech Advisor - July 2018
English | 112 pages | True PDF | 5.6 MB
Microfoundations of Financial Economics: An Introduction to General Equilibrium Asset Pricing (Repost)

Microfoundations of Financial Economics: An Introduction to General Equilibrium Asset Pricing by Yvan Lengwiler
Language: English | 2006 | ISBN: 0691126313 | 304 pages | PDF | 1,35 MB

This textbook takes the reader from the level of microeconomics principles through to modern asset pricing theory.
To Vietnam in Vain: Memoir of an Irish-American Intelligence Advisor, 1969–1970

To Vietnam in Vain: Memoir of an Irish-American Intelligence Advisor, 1969–1970 by Edward A. Hagan
English | January 26th, 2016 | ASIN: B01AV186NU, ISBN: 0786499672 | 230 Pages | EPUB | 5.54 MB

American military advisors in South Vietnam came to know their allies personally—as few American soldiers could. In addition to fighting the Viet Cong, advisors engaged in community building projects and local government initiatives. They dealt firsthand with corrupt American and South Vietnamese bureaucracies. Not many advisors would have been surprised to learn that 105mm artillery shells were being sold on the black market to the Viet Cong. Not many were surprised by the North Vietnamese victory in 1975.

Asset Pricing: Finanzderivate und ihre Systemrisiken  eBooks & eLearning

Posted by AvaxGenius at April 26, 2018
Asset Pricing: Finanzderivate und ihre Systemrisiken

Asset Pricing: Finanzderivate und ihre Systemrisiken By Marc Chesney
German | PDF | 2018 | 248 Pages | ISBN : 3658199016 | 2.59 MB

Dieses Buch widmet sich nicht nur den sogenannten Finanzderivaten, sondern auch den mit ihnen einhergehenden Systemrisiken, die sich im Rahmen der Finanzkrise sehr deutlich manifestiert haben. Nach einer kurzen Einführung in Kapitel 1 werden als Grundlage in Kapitel 2 zunächst Zinssätze und Anleihen behandelt.
Obwohl letztere keine derivativen Finanzinstrumente darstellen, werden sie häufig als Basisinstrumente eingesetzt und sollen deshalb gleich zu Beginn betrachtet werden. Außerdem wird den Negativzinsen als Novum in der internationalen Geldpolitik besondere Beachtung geschenkt. Kapitel 3 widmet sich dann dem Thema Futures und Forwards, Kapitel 4 den Swaps, Kapitel 5 den Grundlagen der Optionen, Kapitel 6 den Modellen der Optionsbepreisung und schließlich in Kapitel 7 und 8 zum einen bisherige Finanzmodelle kritisch analysiert und zum anderen ausgewählte problematische Entwicklungen auf den Finanzmärkten betrachtet.