Søkt på: Bøker av Greg N. Gregoriou
totalt 61 treff
Handbook of Short Selling
This comprehensive examination of short selling, which is a bet on stocks declining in value, explores the ways that this strategy drives financial markets. Its focus on short …
Handbook of Short Selling
This comprehensive examination of short selling, which is a bet on stocks declining in value, explores the ways that this strategy drives financial markets. Its focus on short …
Handbook of Frontier Markets
Handbook of Frontier Markets: Evidence from Asia and International Comparative Studies provides novel insights from academic perspectives about the behavior of investors and prices …
Handbook of High Frequency Trading
This comprehensive examination of high frequency trading looks beyond mathematical models, which are the subject of most HFT books, to the mechanics of the marketplace. In 25 …
Nonlinear Financial Econometrics: Markov Switching Models, Persistence and Nonlinear Cointegration
This book proposes new methods to value equity and model the Markowitz efficient frontier using Markov switching models and provide new evidence and solutions to capture the …
Handbook of Frontier Markets
Handbook of Frontier Markets: The European and African Evidence provides novel insights from academic perspectives about the behavior of investors and prices in several frontier …
Handbook of Frontier Markets
Handbook of Frontier Markets: Evidence from Asia and International Comparative Studies provides novel insights from academic perspectives about the behavior of investors and prices …
Funds of Hedge Funds
With about $450 billion in assets, funds of hedge funds are the most recent darling of investors. While hedge funds carry high risk for the promise of high returns they are …
Banking Crisis Handbook
Explores the Origin of the Recent Banking Crisis and how to Preclude Future CrisesShedding new light on the recent worldwide banking debacle, The Banking Crisis Handbook presents …
Operational Risk Toward Basel III
This book consists of chapters by contributors (well-known professors, practitioners, and consultants from large and well respected money management firms within this area) …
VaR Modeling Handbook: Practical Applications in Alternative Investing, Banking, Insurance, and Portfolio Management
Value-at-Risk (VaR) is a powerful tool for assessing market risk in real time-a critical insight when making trading and hedging decisions. The VaR Modeling Handbook is the most …
Corporate Governance and Regulatory Impact on Mergers and Acquisitions
Corporate Governance and regulatory presssures have been much in the news lately. How they affect the bottom line of corporations has been difficult to quantify, and research is …