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STRATEGIC FINANCIAL MANAGEMENT, SECOND EDITION

Telecharger pdf STRATEGIC FINANCIAL MANAGEMENT, SECOND EDITION

The Second Edition of the book encompasses two new chapters—Strategic Cost Management and Business Ethics—A Strategic Financial Management Instrument. ...

  • L'auteur : ,
  • Editeur: PHI Learning Pvt. Ltd.
  • ISBN: 8120351606
  • Genre: Business & Economics
  • Nombre de pages: 456
  • Langue: French/English
  • Vues: 1399
  • Telecharger: 1399
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Détails: The Second Edition of the book encompasses two new chapters—Strategic Cost Management and Business Ethics—A Strategic Financial Management Instrument. The book, being an augmented version of the previous edition, equips the young managers with the fundamentals and basics of strategic management and financial management in a cogent manner. The text now provides a better orientation to the students on the topics like corporate restructuring, divestitures, acquisitions, and mergers in the global context with the help of examples and caselets. The book has been revised keeping in view the requirements of postgraduate students of management and the students pursuing professional courses such as CA, MFC and CS. In addition, professionals working in the corporate sector may also find the book beneficial to integrate the financial management functions into business strategy and financial operations. Distinctive features • Model question papers have been appended at the end of the book. • Better justification of topics by merging the contents wherever required. • Theory supported with caselets inspired from global as well as Indian context.


CFP Board Financial Planning Competency Handbook

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The official CFP guide for career excellence CFP Board Financial Planning Competency Handbook is the essential reference for those at any stage of CFP cert ...

  • L'auteur : CFP Board
  • Editeur: John Wiley & Sons
  • ISBN: 1119094984
  • Genre: Business & Economics
  • Nombre de pages: 944
  • Langue: French/English
  • Vues: 1432
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Détails: The official CFP guide for career excellence CFP Board Financial Planning Competency Handbook is the essential reference for those at any stage of CFP certification and a one-stop resource for practitioners looking to better serve their clients. This fully updated second edition includes brand new content on connections diagrams, new case studies, and new instructional videos, and a completely new section devoted to the interdisciplinary nature of financial planning. You'll gain insights from diverse fields like psychology, behavioral finance, communication, and marriage and family therapy to help you better connect with and guide your clients, alongside the detailed financial knowledge you need to perform to the highest expectations as a financial planner. The only official CFP Board handbook on the market, this book contains over ninety chapters that are essential for practitioners, students, and faculty. Whether a practitioner, student, or faculty member, this guide is the invaluable reference you need at your fingertips. Comprehensive, clear, and detailed, this handbook forms the foundation of the smart financial planner's library. Each jurisdiction has its own laws and regulations surrounding financial planning, but the information in this book represents the core body of knowledge the profession demands no matter where you practice. CFP Board Financial Planning Competency Handbook guides you from student to practitioner and far beyond, with the information you need when you need it.


Passion on Park Avenue

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An Oprah.com Best Romance Novel of 2019! “Perfect for readers who love the dishy women's fiction of Candace Bushnell.” —Booklist From the author of t ...

  • L'auteur : Lauren Layne
  • Editeur: Simon and Schuster
  • ISBN: 1501191586
  • Genre: Fiction
  • Nombre de pages: 288
  • Langue: French/English
  • Vues: 1094
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Détails: An Oprah.com Best Romance Novel of 2019! “Perfect for readers who love the dishy women's fiction of Candace Bushnell.” —Booklist From the author of the New York Times bestselling Stiletto and Oxford series, the first in a sizzling new series following the unlikely friendship of three Upper East Side women as they struggle to achieve their dreams and find true love and happiness in the city that never sleeps. For as long as she can remember, Bronx-born Naomi Powell has had one goal: to prove her worth among the Upper East Side elite—the same people for which her mom worked as a housekeeper. Now, as the strongminded, sassy CEO of one of the biggest jewelry empires in the country, Naomi finally has exactly what she wants—but it’s going to take more than just the right address to make Manhattan’s upper class stop treating her like an outsider. The worst offender is her new neighbor, Oliver Cunningham—the grown son of the very family Naomi’s mother used to work for. Oliver used to torment Naomi when they were children, and as a ridiculously attractive adult, he’s tormenting her in entirely different ways. Now they find themselves engaged in a battle-of-wills that will either consume or destroy them. “Strong characters and relatable situations elevate Layne’s bighearted contemporary...[which] digs into class differences, emotional baggage, and the reality of dealing with aging parents” (Publishers Weekly, starred review). With the sexy combination of charm, heart, and snark, Lauren Layne’s new series is perfect for fans of Christina Lauren and Sally Thorne.


Behavioral Finance: The Second Generation

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Behavioral finance presented in this book is the second-generation of behavioral finance. The first generation, starting in the early 1980s, largely accept ...

  • L'auteur : Meir Statman
  • Editeur: CFA Institute Research Foundation
  • ISBN: 1944960864
  • Genre: Business & Economics
  • Nombre de pages: 246
  • Langue: French/English
  • Vues: 1424
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Détails: Behavioral finance presented in this book is the second-generation of behavioral finance. The first generation, starting in the early 1980s, largely accepted standard finance’s notion of people’s wants as “rational” wants—restricted to the utilitarian benefits of high returns and low risk. That first generation commonly described people as “irrational”—succumbing to cognitive and emotional errors and misled on their way to their rational wants. The second generation describes people as normal. It begins by acknowledging the full range of people’s normal wants and their benefits—utilitarian, expressive, and emotional—distinguishes normal wants from errors, and offers guidance on using shortcuts and avoiding errors on the way to satisfying normal wants. People’s normal wants include financial security, nurturing children and families, gaining high social status, and staying true to values. People’s normal wants, even more than their cognitive and emotional shortcuts and errors, underlie answers to important questions of finance, including saving and spending, portfolio construction, asset pricing, and market efficiency.


Canadian Public-Sector Financial Management

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"It's not your money - it belongs to the people." Taking this simple axiom seriously creates unique challenges for the management of public funds. Andrew G ...

  • L'auteur : Andrew Graham
  • Editeur: McGill-Queen\'s Press - MQUP
  • ISBN: 1553394275
  • Genre: Political Science
  • Nombre de pages: 264
  • Langue: French/English
  • Vues: 1771
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Détails: "It's not your money - it belongs to the people." Taking this simple axiom seriously creates unique challenges for the management of public funds. Andrew Graham outlines all aspects of public sector financial management, addressing how funds are obtained, what rules of accountability and accounting are applied, who controls public funds, what constitutes effective budget management at the operational level, and how accountability and oversight are dealt with. The skills demanded of public sector managers in financial management are becoming increasingly onerous and complex. Canadian Public Sector Financial Management will be of great help to practitioners in the public sector who wish to better understand their financial responsibilities as well as to students of public administration and the general reader concerned with public financial management issues. The secondedition of Canadian Public-Sector Financial Management updates the widely used text, reflecting on the developments in public financial management over the past six years. Developments in financial reporting and the widespread need for governments to constrain growth and manage their finances more closely are looked at. It remains focused on the practitioner and manager in the public sector.


Finance For Non-Financial Managers In A Week

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Finance For Non-Financial Managers In A Week is a simple and straightforward training course in finance, giving you everything you need to know in just sev ...

  • L'auteur : Roger Mason
  • Editeur: Teach Yourself
  • ISBN: 1444158880
  • Genre: Business & Economics
  • Nombre de pages: 128
  • Langue: French/English
  • Vues: 1331
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Détails: Finance For Non-Financial Managers In A Week is a simple and straightforward training course in finance, giving you everything you need to know in just seven short chapters. From the profit statement and the balance sheet through to costing and budgets, it will help you deal confidently with questions such as 'What is the return on investment?', 'Do we have the resources?' and 'What are the cash implications?' You'll also find exercises to help you put it all into action. This book introduces you to the main themes and ideas finance and accounting, giving you a basic knowledge and understanding of the key concepts, together with practical and thought-provoking exercises. Whether you choose to read it in a week or in a single sitting, Finance For Non-Financial Managers In A Week is your fastest route to success: - Sunday: An introduction to the profit statement - Monday: An introduction to the balance sheet - Tuesday: Understanding published accounts - Wednesday: Accounting ratios and investment decisions - Thursday: Cash and the management of working capital - Friday: Costing - Saturday: Budgets ABOUT THE SERIES In A Week books are for managers, leaders, and business executives who want to succeed at work. From negotiating and content marketing to finance and social media, the In A Week series covers the business topics that really matter and that will help you make a difference today. Written in straightforward English, each book is structured as a seven-day course so that with just a little work each day, you will quickly master the subject. In a fast-changing world, this series enables readers not just to get up to speed, but to get ahead.


Financial Risk Management

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A top risk management practitioner addresses the essentialaspects of modern financial risk management In the Second Edition of Financial Risk Management +W ...

  • L'auteur : Steve L. Allen
  • Editeur: John Wiley & Sons
  • ISBN: 1118226526
  • Genre: Business & Economics
  • Nombre de pages: 608
  • Langue: French/English
  • Vues: 309
  • Telecharger: 309
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Détails: A top risk management practitioner addresses the essentialaspects of modern financial risk management In the Second Edition of Financial Risk Management +Website, market risk expert Steve Allen offers an insider'sview of this discipline and covers the strategies, principles, andmeasurement techniques necessary to manage and measure financialrisk. Fully revised to reflect today's dynamic environment and thelessons to be learned from the 2008 global financial crisis, thisreliable resource provides a comprehensive overview of the entirefield of risk management. Allen explores real-world issues such as proper mark-to-marketvaluation of trading positions and determination of needed reservesagainst valuation uncertainty, the structuring of limits to controlrisk taking, and a review of mathematical models and how they cancontribute to risk control. Along the way, he shares valuablelessons that will help to develop an intuitive feel for market riskmeasurement and reporting. Presents key insights on how risks can be isolated, quantified,and managed from a top risk management practitioner Offers up-to-date examples of managing market and creditrisk Provides an overview and comparison of the various derivativeinstruments and their use in risk hedging Companion Website contains supplementary materials that allowyou to continue to learn in a hands-on fashion long after closingthe book Focusing on the management of those risks that can besuccessfully quantified, the Second Edition of FinancialRisk Management + Websiteis the definitive source for managingmarket and credit risk.


Financial Management and Accounting in the Public Sector

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The impact of the global financial crisis on government funds has been significant, with squeezed budgets having to satisfy ever-increasing demands for pub ...

  • L'auteur : Gary Bandy
  • Editeur: Routledge
  • ISBN: 1317659228
  • Genre: Business & Economics
  • Nombre de pages: 382
  • Langue: French/English
  • Vues: 1749
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Détails: The impact of the global financial crisis on government funds has been significant, with squeezed budgets having to satisfy ever-increasing demands for public services. Managers working in the public sector are confronted daily with targets and demands that are often set in confusing accounting and financial language. In Financial Management and Accounting in the Public Sector, Gary Bandy employs a clear and concise narrative to introduce the core concepts of accounting and financial management in the public sector and how to deliver services that represent value for money. This second edition has been revised and updated throughout, offering: an increased focus on post-crisis austerity more international examples of public financial management greater coverage of governance, accountability and risk management With a glossary of terms to help managers understand and be understood by accountants, as well as learning objectives, case studies and discussion questions, this practical textbook will help students of public management and administration to understand the financial and accounting aspects of managing public services.


Risk Management and Financial Institutions

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The most complete, up-to-date guide to risk management in finance Risk Management and Financial Institutions, Fifth Edition explains all aspects of financi ...

  • L'auteur : John C. Hull
  • Editeur: John Wiley & Sons
  • ISBN: 1119448166
  • Genre: Business & Economics
  • Nombre de pages: 832
  • Langue: French/English
  • Vues: 508
  • Telecharger: 508
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Détails: The most complete, up-to-date guide to risk management in finance Risk Management and Financial Institutions, Fifth Edition explains all aspects of financial risk and financial institution regulation, helping you better understand the financial markets—and their potential dangers. Inside, you’ll learn the different types of risk, how and where they appear in different types of institutions, and how the regulatory structure of each institution affects risk management practices. Comprehensive ancillary materials include software, practice questions, and all necessary teaching supplements, facilitating more complete understanding and providing an ultimate learning resource. All financial professionals need to understand and quantify the risks associated with their decisions. This book provides a complete guide to risk management with the most up to date information. • Understand how risk affects different types of financial institutions • Learn the different types of risk and how they are managed • Study the most current regulatory issues that deal with risk • Get the help you need, whether you’re a student or a professional Risk management has become increasingly important in recent years and a deep understanding is essential for anyone working in the finance industry; today, risk management is part of everyone's job. For complete information and comprehensive coverage of the latest industry issues and practices, Risk Management and Financial Institutions, Fifth Edition is an informative, authoritative guide.


Marketing Management, 2nd Edition

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Marketing is a way of doing business. It is all pervasive, a part of everyone’s job description. Marketing is an expression of a company’s character, a ...

  • L'auteur : Arun Kumar & N. Meenakshi
  • Editeur: Vikas Publishing House
  • ISBN: 8125942599
  • Genre: Business & Economics
  • Nombre de pages: 942
  • Langue: French/English
  • Vues: 512
  • Telecharger: 512
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Détails: Marketing is a way of doing business. It is all pervasive, a part of everyone’s job description. Marketing is an expression of a company’s character, and is a responsibility that necessarily belongs to the whole company and everyone in it.


MONEY Master the Game

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Tony Robbins turns to the topic that vexes us all: How to secure financial freedom for ourselves and for our families. “If there were a Pulitzer Prize fo ...

  • L'auteur : Tony Robbins
  • Editeur: Simon and Schuster
  • ISBN: 1476757879
  • Genre: Self-Help
  • Nombre de pages: 688
  • Langue: French/English
  • Vues: 500
  • Telecharger: 500
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Détails: Tony Robbins turns to the topic that vexes us all: How to secure financial freedom for ourselves and for our families. “If there were a Pulitzer Prize for investment books, this one would win, hands down” (Forbes). Tony Robbins is one of the most revered writers and thinkers of our time. People from all over the world—from the disadvantaged to the well-heeled, from twenty-somethings to retirees—credit him for giving them the inspiration and the tools for transforming their lives. From diet and fitness, to business and leadership, to relationships and self-respect, Tony Robbins’s books have changed people in profound and lasting ways. Now, for the first time, he has assembled an invaluable “distillation of just about every good personal finance idea of the last forty years” (The New York Times). Based on extensive research and interviews with some of the most legendary investors at work today (John Bogle, Warren Buffett, Paul Tudor Jones, Ray Dalio, Carl Icahn, and many others), Tony Robbins has created a 7-step blueprint for securing financial freedom. With advice about taking control of your financial decisions, to setting up a savings and investing plan, to destroying myths about what it takes to save and invest, to setting up a “lifetime income plan,” the book brims with advice and practices for making the financial game not only winnable—but providing financial freedom for the rest of your life. “Put MONEY on your short list of new books to read…It’s that good” (Marketwatch.com).


The Basics of Public Budgeting and Financial Management

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The Basics of Public Budgeting and Financial Management brings budgetary theory and practice together, filling the void between the two that has existed in ...

  • L'auteur : Charles E. Menifield
  • Editeur: University Press of America
  • ISBN: 0761861424
  • Genre: Business & Economics
  • Nombre de pages: 270
  • Langue: French/English
  • Vues: 1757
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Détails: The Basics of Public Budgeting and Financial Management brings budgetary theory and practice together, filling the void between the two that has existed in the field of budgeting and public finance. This book bridges the gap by providing the reader with applications and exercises that reinforce budgetary theory. Students are given the opportunity to learn various concepts and skills necessary to succeed in the field and the exercises provided in each chapter require application of what is learned. Specifically, students will be exposed to basic budget and finance concepts, public revenue, financial management, risk assessment, cost benefit analysis, and so on. This handbook also provides great tools that allow the user to visually display budgets and other analysis. Students will gain the solid foundation needed to begin work in a budget office. Features of this second edition include enhanced data and optional in-class assignments. For ancillary materials, please contact the author at [email protected]


Simulation Techniques in Financial Risk Management

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Praise for the First Edition “...a nice, self-contained introduction to simulation and computational techniques in finance...” – Mathematical Reviews ...

  • L'auteur : Ngai Hang Chan,Hoi Ying Wong
  • Editeur: John Wiley & Sons
  • ISBN: 1118735935
  • Genre: Mathematics
  • Nombre de pages: 232
  • Langue: French/English
  • Vues: 1252
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Détails: Praise for the First Edition “...a nice, self-contained introduction to simulation and computational techniques in finance...” – Mathematical Reviews Simulation Techniques in Financial Risk Management, Second Edition takes a unique approach to the field of simulations by focusing on techniques necessary in the fields of finance and risk management. Thoroughly updated, the new edition expands on several key topics in these areas and presents many of the recent innovations in simulations and risk management, such as advanced option pricing models beyond the Black–Scholes paradigm, interest rate models, MCMC methods including stochastic volatility models simulations, model assets and model-free properties, jump diffusion, and state space modeling. The Second Edition also features: Updates to primary software used throughout the book, Microsoft Office® Excel® VBA New topical coverage on multiple assets, model-free properties, and related models More than 300 exercises at the end of each chapter, with select answers in the appendix, to help readers apply new concepts and test their understanding Extensive use of examples to illustrate how to use simulation techniques in risk management Practical case studies, such as the pricing of exotic options; simulations of Greeks in hedging; and the use of Bayesian ideas to assess the impact of jumps, so readers can reproduce the results of the studies A related website with additional solutions to problems within the book as well as Excel VBA and S-Plus computer code for many of the examples within the book Simulation Techniques in Financial Risk Management, Second Edition is an invaluable resource for risk managers in the financial and actuarial industries as well as a useful reference for readers interested in learning how to better gauge risk and make more informed decisions. The book is also ideal for upper-undergraduate and graduate-level courses in simulation and risk management.


CORPORATE FINANCIAL REPORTING AND ANALYSIS, SECOND EDITION

Telecharger pdf CORPORATE FINANCIAL REPORTING AND ANALYSIS, SECOND EDITION

The book provides an insight into the concepts pertaining to financial accounting in the most simplified way. With clear and concise presentation and syste ...

  • L'auteur : Bhattacharyya, Asish K.
  • Editeur: PHI Learning Pvt. Ltd.
  • ISBN: 9388028880
  • Genre: Business & Economics
  • Nombre de pages: 596
  • Langue: French/English
  • Vues: 1896
  • Telecharger: 1896
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Détails: The book provides an insight into the concepts pertaining to financial accounting in the most simplified way. With clear and concise presentation and systematic discussion of the concepts, the text helps in developing the basic understanding of corporate financial reporting. It explicates the accounting principles and methods stipulated in Ind AS, without going into too much detail to make the book useful to the students without previous accounting knowledge. Primarily, the book is intended as first course for the postgraduate students of management for their papers in Financial Reporting and Financial Statement Analysis. HIGHLIGHTS OF THE BOOK • Case study-based approach. • Ind AS revised up to April 30, 2019, including Ind AS 116. • Schedule III of the Companies Act, 2013. • Use of financial statements of HUL, Infosys and Suzlon for the year 2016–17 throughout the text to explain Schedule III, accounting principles and financial statement analysis. • Numerous illustrations and self-test questions (with answers) after each concept for students to assess their knowledge and grasping. • Chapter-end assignments including multiple choice questions, fill in the blanks, analytical questions and problems for practice. NEW TO THE EDITION Besides revised Ind AS, the book includes four new chapters in the second edition, which are as follows: • Financial Instruments (Ch 19) • Non-Financial Liabilities (Ch 20) • Business Combination and Consolidated Financial Statements (Ch 21) • Topical Issues (Ch 22) LEARNING RESOURCES Online Study Guide is available at at https://phindia.com/corporate_financial_reporting_bhattacharyya for adopting faculties, which comprises the following: • Solutions manual • Key ideas and chapter review slides • Additional assignments. However, additional assignments are accessible to the students as well. TARGET AUDIENCE • MBA • PGDM


Financial Behavior

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Financial Behavior: Players, Services, Products, and Markets provides a synthesis of the theoretical and empirical literature on the financial behavior of ...

  • L'auteur : H. Kent Baker,Greg Filbeck,Victor Ricciardi
  • Editeur: Oxford University Press
  • ISBN: 0190270004
  • Genre: Business & Economics
  • Nombre de pages: 608
  • Langue: French/English
  • Vues: 1751
  • Telecharger: 1751
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Détails: Financial Behavior: Players, Services, Products, and Markets provides a synthesis of the theoretical and empirical literature on the financial behavior of major stakeholders, financial services, investment products, and financial markets. The book offers a different way of looking at financial and emotional well-being and processing beliefs, emotions, and behaviors related to money. The book provides important insights about cognitive and emotional biases that influence various financial decision-makers, services, products, and markets. With diverse concepts and topics, the book brings together noted scholars and practitioners so readers can gain an in-depth understanding about this topic from experts from around the world. In today's financial setting, the discipline of behavioral finance is an ever-changing area that continues to evolve at a rapid pace. This book takes readers through the core topics and issues as well as the latest trends, cutting-edge research developments, and real-world situations. Additionally, discussion of research on various cognitive and emotional issues is covered throughout the book. Thus, this volume covers a breadth of content from theoretical to practical, while attempting to offer a useful balance of detailed and user-friendly coverage. Those interested in a broad survey will benefit as will those searching for more in-depth presentations of specific areas within this field of study. As the seventh book in the Financial Markets and Investment Series, Financial Behavior: Players, Services, Products, and Markets offers a fresh looks at the fascinating area of financial behavior.


Handbook of Research on International Consumer Law, Second Edition

Telecharger pdf Handbook of Research on International Consumer Law, Second Edition

Consumer law and policy continues to be of great concern to both national and international regulatory bodies, and the second edition of the Handbook of Re ...

  • L'auteur : Geraint Howells,Iain Ramsay
  • Editeur: Edward Elgar Publishing
  • ISBN: 1785368214
  • Genre: Law
  • Nombre de pages: 528
  • Langue: French/English
  • Vues: 432
  • Telecharger: 432
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Détails: Consumer law and policy continues to be of great concern to both national and international regulatory bodies, and the second edition of the Handbook of Research on International Consumer Law provides an updated international and comparative analysis of the central legal and policy issues, in both developed and developing economies.


Security Analysis and Portfolio Management, 2nd Edition

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In the current scenario, investing in the stock markets poses a significant challenge even for seasoned professionals. Not surprisingly, many students find ...

  • L'auteur : Pandian Punithavathy
  • Editeur: Vikas Publishing House
  • ISBN: 9325963086
  • Genre: ,
  • Nombre de pages: N.A
  • Langue: French/English
  • Vues: 902
  • Telecharger: 902
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Détails: In the current scenario, investing in the stock markets poses a significant challenge even for seasoned professionals. Not surprisingly, many students find the subject Security Analysis and Portfolio Management difficult. This book offers conceptual clarity and in-depth coverage with a student-friendly approach. Targeted at the postgraduate students of management and commerce, it is an attempt to demystify the difficult subject. The book is divided into three parts. Part I explains the Indian stock market; Part II exclusively deals with the different aspects of security analysis; Part III is devoted to portfolio analysis.


Increasing Management Relevance and Competitiveness

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Increasing Management Relevance and Competitiveness contains the papers presented at the Global Conference on Business, Management and Entrepreneurship (th ...

  • L'auteur : Badri Munir Sukoco,Rahmat Heru Setianto,Nidya Ayu Arina,Ade Gafar Abdullah,Asep Bayu Nandiyanto,Ratih Hurriyati
  • Editeur: CRC Press
  • ISBN: 1351241885
  • Genre: Business & Economics
  • Nombre de pages: 522
  • Langue: French/English
  • Vues: 614
  • Telecharger: 614
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Détails: Increasing Management Relevance and Competitiveness contains the papers presented at the Global Conference on Business, Management and Entrepreneurship (the 2nd GC-BME 2017), Surabaya, Indonesia on the 9th of August, 2017. The book covers 7 topics: 1. Organizational Behavior, Leadership, and Human Resources Management 2. Innovation, Operations and Supply Chain Management 3. Marketing Management 4. Financial Management and Accounting 5. Strategic Management, Entrepreneurship, and Contemporary Issues 6. Green Business 7. Management and Economics Education.


International Accounting and Reporting Issues

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This publication reviews recent developments on the performance of enterprises in attaining Sustainable Development Goals, as well as practical implementat ...

  • L'auteur : United Nations Conference on Trade and Development (UNCTAD)
  • Editeur: United Nations
  • ISBN: 9210476948
  • Genre: Political Science
  • Nombre de pages: 64
  • Langue: French/English
  • Vues: 811
  • Telecharger: 811
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Détails: This publication reviews recent developments on the performance of enterprises in attaining Sustainable Development Goals, as well as practical implementation of aspects concerning International Financial Reporting Standards (IFRS) and International Public Sector Accounting Standards (IPSAS). It discusses implementation of recent IFRS considerations dealing with financial instruments, revenue from contracts with customers, leases and insurance contracts. Concerning IPSAS, the report looks into its overall implementation worldwide.


Mathematics and Statistics for Financial Risk Management

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Mathematics and Statistics for Financial Risk Management is a practical guide to modern financial risk management for both practitioners and academics. Now ...

  • L'auteur : Michael B. Miller
  • Editeur: John Wiley & Sons
  • ISBN: 1118757645
  • Genre: Business & Economics
  • Nombre de pages: 336
  • Langue: French/English
  • Vues: 1788
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Détails: Mathematics and Statistics for Financial Risk Management is a practical guide to modern financial risk management for both practitioners and academics. Now in its second edition with more topics, more sample problems and more real world examples, this popular guide to financial risk management introduces readers to practical quantitative techniques for analyzing and managing financial risk. In a concise and easy-to-read style, each chapter introduces a different topic in mathematics or statistics. As different techniques are introduced, sample problems and application sections demonstrate how these techniques can be applied to actual risk management problems. Exercises at the end of each chapter and the accompanying solutions at the end of the book allow readers to practice the techniques they are learning and monitor their progress. A companion Web site includes interactive Excel spreadsheet examples and templates. Mathematics and Statistics for Financial Risk Management is an indispensable reference for today’s financial risk professional.