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  • av Moorad (KBC Financial Products Choudhry
    510,-

    The Repo markets have grown dramatically in the past few years because of the need to hedge short positions in the capital and derivatives markets. Virtually all major currency markets in the world now have an established repo market, the facility is also increasingly being used in developing currency markets as well.

  • av Ray (GCR Management Services Russell
    512,-

    An Introduction to Fund Management introduces readers to the economic rationale for the existence of funds, the different types available, investment strategies and many other related issues from the perspective of the investment manager.

  • av Moorad (KBC Financial Products UK Ltd. Choudhry
    425,-

    The 2nd edition of The Futures Bond Basis, is an updated and revised version of Professor Moorad Choudhry's succinct but in-depth look at the government bond futures contract basis. It includes essential background on contract specifications and the theory of the basis.

  • av David (Derivatives and Securities Consultancy Ltd (DSC) Loader
    623,-

    Fundamentals of Global Operations Management, Second Edition provides an overview of the fundamentals of an organisation's operations functions for employees working in any corporate environment.

  • - Transactions and Techniques
    av Ross (Knowledgebay Limited Geddes
    490,-

    An Introduction to Corporate Finance provides the reader with a complete overview of Corporate Finance from perspective of the investment Banker. The author, a corporate trainer and former investment banker clarifies the role of the investment banker in numerous corporate finance transactions, including mergers & acquisitions, IPO's, and valuation.

  • av Kevin Rothwell
    658,-

    Investment Administration has a key role to play in the many and varied investment products and services that are available in the retail investment marketplace.

  • av Moorad (London Metropolitan University) Choudhry
    533,-

    Introduction to Bond Markets provides a comprehensive, authoritative description of the bond markets. The contents describe and define bonds within the context of the capital markets and the different types of bonds that are traded.

  • av Moorad (Brunel University & University of London) Choudhry
    585,-

    The value-at-risk measurement methodology is a widely-used tool in financial market risk management.

  • av David (DCS Portfolio Loader
    623,-

    Managing an operations team in an organization within the financial markets is a huge challenge. In Advanced Operations Management, 2e, author David Loader explores the challenges of being a good supervisor and manager in an environment of constant change, variable workloads, and pressure to deliver quality services cost-effectively.

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