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Derivatives markets

Xem 1-20 trên 304 kết quả Derivatives markets
  • Part 2 of ebook "Multichannel commerce: A consumer perspective on the integration of physical and electronic channels" provides readers with contents including: Chapter 4 - Purchase specific and individual differences; Chapter 5 - Reflection; Appendix A - Methodology of the structured literature review; Appendix B - German measurement instrument; Appendix C - Latent variable correlations and AVE;...

    pdf88p giangmacvien 22-06-2024 1 1   Download

  • This study aims to generalize basic issues about the derivatives market and derivatives transactions in the market and evaluate the current situation of the derivatives market in Vietnam from 2017 to present. Along with that, research experience in some markets around the world, in order to come up with solutions to develop this market in Vietnam.

    pdf8p leminhvu111 07-06-2024 3 0   Download

  • In this article, after analyzing the different approaches, a generalized definition is derived. In unstable market conditions, the success of the firm in the market depends on its competitiveness, timely establishment of strategic goals, flexibility of the production system, which is ensured by the accuracy and timeliness of management decisions.

    pdf5p longtimenosee09 08-04-2024 4 1   Download

  • Lecture "International payments: Chapter 2 - Exchange rates and financial derivatives on the foreign exchange market" provide students with content about: Concepts; Bases for determining exchange rates; Methods of quotation; Some conventions in foreign exchange transactions; Common types of exchange rates; How to calculate currency cross rates; Factors influencing exchange rates; Main measures to regulate exchange rates. Please refer to the detailed lecture content!

    pdf105p gaupanda020 21-03-2024 2 0   Download

  • Continued part 1, part 2 of ebook "Introduction to derivative financial instruments: Options, futures, forwards, swaps, and hedging" provides readers with contents including: options; risk control for options; futures, forwards, and swaps; the pricing of options; credit risk and market risk with options; interest rate risk management through derivatives;...

    pdf218p tuongnhuoclan 27-11-2023 12 5   Download

  • Part 1 of ebook "The risk modeling evaluation handbook: Rethinking financial risk management methodologies in the global capital markets" provides readers with contents including: introduction to model risk; model risk related to equity and fixed income investments; model risk related to credit and credit derivatives investments;...

    pdf275p tuongnhuoclan 27-11-2023 9 5   Download

  • Continued part 1, part 2 of ebook "The risk modeling evaluation handbook: Rethinking financial risk management methodologies in the global capital markets" provides readers with contents including: model risk related to valuation models; limitations to measure risk; modeling model risk for risk models; economic capital and asset allocation;...

    pdf253p tuongnhuoclan 27-11-2023 9 5   Download

  • This paper investigates the asset pricing problem in the context of asymmetric information, focusing on the asset chain, and derives an expression for equilibrium asset prices. The findings of this study contribute to our understanding of how information asymmetry affects asset prices and can be used to inform investment decisions in markets with asymmetric information.

    pdf9p vijeff 30-11-2023 5 3   Download

  • Ebook "The handbook of financial instruments" provides comprehensive coverage of a broad range of financial instruments, including equities, bonds (asset-backed and mortgage-backed securities), derivatives (equity and fixed income), insurance investment products, mutual funds, alternative investments (hedge funds and private equity), and exchange traded funds.

    pdf862p tuongnhuoclan 28-11-2023 6 5   Download

  • Continued part 1, part 2 of ebook "Financial instruments and institutions: Accounting and disclosure rules (2nd edition)" provides readers with contents including: commercial banks; derivatives and hedging; market risk disclosures; lessors and lease accounting; insurers and insurance accounting; property-casualty insurers’ loss reserve disclosures; reinsurance accounting and disclosure;...

    pdf256p tuongnhuoclan 27-11-2023 6 5   Download

  • Part 1 of ebook "Multinational finance: Evaluating opportunities, costs, and risks of operations" provides readers with contents including: the international financial environment; derivative securities for financial risk management; world trade and the international monetary system; foreign exchange and eurocurrency markets; the international parity conditions and their consequences; currency futures and futures markets; currency options and options markets;...

    pdf218p dangsovu 20-10-2023 8 5   Download

  • Part 1 of ebook "Multinational financial management" provides readers with contents including: environment of international financial management; the determination of exchange rates; the international monetary system; foreign exchange and derivatives markets; parity conditions in international finance and currency forecasting; the balance of payments and international economic linkages; the foreign exchange market; currency futures and options markets;...

    pdf356p dangsovu 20-10-2023 10 5   Download

  • Vietnam is in the process of regional economic integration and the world, opening up opportunities as well as challenges for companies. The use of derivatives for hedging risks in the business of the companies is inevitable. This study aims to present the main contents of Vietnam’s derivatives market and provide solutions to ensure the implementation of sustainable derivative instruments.

    pdf11p vifriedrich 06-09-2023 7 3   Download

  • Part 1 book "The Indian financial system" includes content: the Financial system - An introduction, the financial system and the economy, reforms in the financial system, the money market, the capital market, the primary market, disinvestment of public sector undertakings, the secondary market, the derivatives market, the debt market, new financial instruments.

    pdf405p oursky02 07-08-2023 11 5   Download

  • Part 1 of ebook "International financial management (Abridged 10th edition)" provides readers with content including: the international financial environment; multinational financial management - an overview; international flow of funds; international financial markets; exchange rate determination; currency derivatives; exchange rate behavior; government influence on exchange rates; international arbitrage and interest rate parity; relationships among inflation, interest rates, and exchange rates;...

    pdf266p dieptieuung 19-07-2023 8 4   Download

  • Part 1 of ebook "Applied quantitative finance (Third edition)" has presents the following content: market risk; vaR in high dimensional systems-a conditional correlation approach; multivariate volatility models; portfolio selection with spectral risk measures; implementation of local stochastic volatility model in FX derivatives; credit risk; estimating distance-to-default with a sector-specific liability adjustment via sequential monte carlo;...

    pdf244p dieptieuung 20-07-2023 8 3   Download

  • Ebook Finance - Capital Markets, Financial Management, and Investment Management: Part 1 presents the following content: What Is Finance; Mathematics of Finance; Basics of Financial Analysis; The Financial System; Interest Rate Determination and the Structure of Interest Rates; Basics of Derivatives;...Please refer to the documentation for more details.

    pdf394p trankora06 19-07-2023 17 5   Download

  • presents the following content: Chapter 1: Outline, Chapter 2: Bank management and steering, Chapter 3: Banks in their regulatory and economic environment, Chapter 4: Risk modeling and capital: Credit risk (loans), Chapter 5: Risk modeling and capital: Counterparty Credit Risk (EPE), Chapter 6: Risk modeling and capital: Credit risk (securitizations), Chapter 7: Risk modeling and capital: Market risk, Chapter 8: Risk modeling and capital: Operational risk, Chapter 9: Risk modeling: Asset liability management (ALM), Appendix: A-IRB formulas for the derivation of risk-weighted assets, Appendi...

    pdf131p haojiubujain02 03-07-2023 5 3   Download

  • Ebook The future of finance: A new model for banking and investment – Part 1 presents the following content: Chapter 1: globalization, emerging markets, and the savings glut; chapter 2: the rise of derivatives and systemic risk; chapter 3: the too-big-to-fail bank, moral hazard, and macroprudential regulation; chapter 4: corporate governance and remuneration in the banking industry; chapter 5: bank capital safeguards: additional capital buffers and reverse convertibles; chapter 6: economic theories under attack.

    pdf120p haojiubujain02 03-07-2023 6 3   Download

  • Ebook Stock Market Operations: Part 2 presents the following content: Fundamental Analysis 1: Economic Analysis; Fundamental Analysis 2: Industry Analysis; Fundamental Analysis 3: Company Analysis; Introduction to Derivatives;...Please refer to the documentation for more details.

    pdf146p chankora 16-06-2023 6 4   Download

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