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In today's competitive banking industry, institutional banking is attracting greater interest. Under the globalization umbrella, inter-bank business is undergoing dynamic change …
In the last 12 months, all leading financial institutions have set up hybrid derivatives desks in the view that they will shortly become as lucrative as standard interest-rate …
Written by a leading practitioner and two leading academics, this book provides complete coverage of all of the leading methods for modelling basket products and addresses the …
A new framework for active portfolio management Quantitative Active Portfolio Management analyzes modern active management practice, supporting some methods and debunking others. …
The Markets in Financial Instruments Directive (MiFID) is the biggest change programme Europe's capital markets have ever attempted. It takes all the protection away from Europe's …
Property derivatives have the potential to revolutionize real estate - the last major asset class without a liquid derivatives market. The new instruments offer ease and …
* Credit Risk Model Validation and Monitoring Methods provides a one-stop guide to the latest validation and monitoring techniques.
* The credit derivatives market has been growing exponentially for the last few years and will continue to do so. * A feature of these products is that they are complex and not …
Over the past decade, credit derivatives have emerged as the key financial innovation in global capital markets. At end 2004, the market size hit $6.4 billion (in notional amounts) …