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Banks, E: Finance: The Basics


en Limba Engleză Paperback – aug 2010
Finance: The Basics is a clear and practical introduction to the world of finance, allowing the reader to grasp relevant financial concepts and apply them to daily activities and studies. This fully revised and updated edition captures the most important aspects of a changing financial landscape, incorporating new and expanded sections on:
  • behavioral finance, securitization and financial crises
  • risk management, including loss control, loss financing and risk reduction
  • investment management, including conventional asset management, alternatives and private wealth.
Illustrated throughout with timely, real-world examples and case studies, Finance: The Basics contains useful equations, statistics and suggestions for further reading. It is ideal for anyone looking for a straightforward but comprehensive guide to the key elements of finance.
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Specificații

ISBN-13: 9780415573368
ISBN-10: 041557336X
Pagini: 296
Ilustrații: 32 black & white tables
Dimensiuni: 132 x 197 x 27 mm
Greutate: 0.33 kg
Ediția:Revizuită
Editura: Taylor & Francis

Cuprins

Part 1: Concepts and Tools  1. The World of Finance  2. The Financial Statements  3. Financial Concepts and Tools Part 2: Instruments and Transactions  4. Common and Preferred Stock  5. Loans and Bonds  6. Investment Funds  7. Derivatives and Insurance 8. Corporate Finance  Part 3: Participants and Markets  9. Financial Participants 10. The Global Finance Markets.

Recenzii

"In this second edition (1st ed., 2006), Banks (author of several works including The Palgrave Macmillan Dictionary of Finance, Investment, and Banking, Sep'10 and The Failure of Wall Street, June '05) provides a concise introduction to fundamental financial concepts. The book is readable and well organized and includes many relevant real-world examples. Recommended" -- J. Fitzpatrick, SUNY Fredonia (CHOICE, June 2011)

Notă biografică

Erik Banks is a senior risk advisor at the European universal bank UniCredit. He has held senior risk positions at Citibank, Merrill Lynch and in the hedge fund sector, in New York, Tokyo, Hong Kong, London and Munich. He is the author of several books on risk, derivatives, emerging markets and governance.