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How to Invest In Offshore Real Estate and Pay Little or No T

Author: Hubert Bromma
Publishing date: 2007
Cash in on the Hot New Real Estate Trend! More and more real estate investors are finding bargain properties offshore. How to Invest in Offshore Real Estate and Pay Little or No Taxes helps you maximize profits and minimize taxes on your overseas investment properties, no matter how far away they may be. Hubert Bromma shows you how to use tax-advantaged accounts and plans to earn a bundle on foreign properties-from apartments, to condos, to office space. Inside, you'll find everything you need to make the most of your investment: Practical investing tactics for finding great deals anywherePlans and strategies for avoiding most domestic and foreign taxesLocations of the hottest foreign markets-from Austria to New Zealand to HondurasHow to invest overseas using your
110.25 zł

Introduction to Credit Derivatives

Author: M Chudhry
Moorad Choudhry
Publishing date: 2004
In a relatively short time credit derivatives have grown to become one of the largest and most important segment of the financial markets, with deal volumes now in trillions of dollars. They have become an important tool for banks, financial institutions and corporates who desire greater flexibility in managing their credit risk and economic capital. This book is an accessible introduction to the various types of credit derivative instruments traded in the markets today. All products are described with the help of worked examples and Bloomberg screens, and the reader will be left with a thorough familiarity with the nature of credit risk and credit products generally. Topics covered include: * Credit risk * Unfunded credit derivatives * Funded credit derivatives *
293.00 zł

Invested Interests

Author: Bret Benjamin
Publishing date: 2007
Despite the World Bank's profound impact on economic, political, and social conditions during the post-World War II era, cultural critics who rigorously theorize other institutions of colonialism and globalization have largely ignored the institution. Working to correct this blind spot, Bret Benjamin's Invested Interests presents the first extended cultural analysis of the World Bank. In Invested Interests, Benjamin contends that the World Bank has, from its inception, trafficked in culture. From the political context in which the Bank was chartered to its evolution into an interventionist development agency with vast, unchecked powers, Benjamin explores the Bank's central role in the global dissemination of Fordist-Keynesianism, its conflicted support for
72.45 zł

Introduction to Banking 2e

Author: Barbara Casu
Claudia Girardone
Philip Molyneux
Publishing date: 2015
"I truly welcome this thoroughly revised edition of the Introduction to Banking textbook. Its authors are world-class scholars who on a daily basis research a wide array of highly relevant banking topics and maintain many close contacts with the commercial and central banking community. I can see no better guides to lead undergraduates into the fascinating (and at times bewildering) banking landscape." Steven Ongena, Professor of Banking, University of Zurich, Swiss Finance Institute and CEPR   "I heartily endorse Introduction to Banking 2nd Edition, which thoroughly covers the topic of banking in the post-crisis world. Unlike other textbooks which are very US-centric, this is a global banking book which covers issues and institutions on a worldwide basis."
253.00 zł

NAFTA Tax Law & Policy

Author: Arthur Cockfield
Publishing date: 2005
In NAFTA Tax Law and Policy, Arthur J. Cockfield analyzes these different tax systems and proposes a number of recommendations to reduce the harm caused by these barriers.
230.00 zł

One Step Ahead

Author: Timothy Spangler
Publishing date: 2016
A jargon-free guide to how investment funds operate and how they have broken free of financial crises to grow and prosper
95.00 zł

Investing Demystified:How to Invest Without Speculation and Sleepless Nights

Author: Lars Kroijer
Publishing date: 2017
Don’t spend your time worrying whether you can beat the markets: you don’t need to beat them to be a successful investor. By showing you how to build a simple and rational portfolio and tailor it to your specific needs, Investing Demystified will help you generate superior returns. With his straightforward and jargon-free advice, Lars Kroijer simplies the often complex world of finance and tells you everything you need to know – and everything that you don’t need to worry about – in order to make the most from your investments. In Investing Demystified you will: • Discover the mix of stocks, bonds and cash needed for a top performing portfolio • Learn why the most broadly diversified and simplest portfolio makes the most sense • Understand the right
87.00 zł

Investment Analysis

Author: Michael Dempsey
Mike Dempsey
Publishing date: 2019
The textbook is designed as a core text for finance courses that cover market investments, portfolio formation and the management of investment portfolios. As such, the text seeks to convey insight and actual wisdom as to the nature of these activities, and offers the student a rigorous preparation for entry to the funds management industry.
238.00 zł

Islamic Finance

Publishing date: 2010
Islamic Finance: Instruments and Markets looks at the application of Sharia law to the world of banking and finance. It provides you with an understanding of the rationale behind the instruments and the rapidly developing Islamic financial markets. Coverage includes in-depth analysis of the financial instruments within the Sharia framework and how they are applied in various sectors including insurance, investment and capital markets. Regulatory issues are also discussed both from the role of the Sharia board to reporting financial risk to legal bodies. It addresses issues such as bringing a New Ethical Dimension to Banking through to The International Role of Islamic Finance and provides you with a range of checklists from Business Ethics in Islamic Finance to The
204.75 zł

Investors' Guide to the United Kingdom

Author: Pierce
Publishing date: 2004
This first edition of the "Investors' Guide to the United Kingdom" is an invaluable resource which examines the United Kingdom as an investment destination or as a base for business expansion. The guide explains the mechanics of commercial engagement and gives an up-to-date survey of current opportunities, including a detailed look at specific investment sectors by industry sector and by region. The second edition of this book will be available in Fall 2005. 'Each chapter has been written by leading experts and is set to make the guide a compelling read for any executive or entrepreneur wishing to invest in the UK.' Business World
461.00 zł

Maximising Performance in Insurance Operations

Author: Julia Prichard
Louis Jordan
Publishing date: 1999
Maximising performance in insurance operations is a practical guide to managing successful change programmes within the insurance industry. It shows large organisations how to become leading edge business performers using case studies and examples drawn from the authors' own unrivalled experience in the field. Key questions such as 'How much change is required?' are addressed and a structured programme tailored to the unique problems of the insurance industry shows how organisations can move forward to maximise their potential with a minimum of risk. The book sets out the criteria for achieving operational excellence and each chapter is supported by a case study showing how various organisations have dealt with the challenges and there are useful comments and
744.00 zł

Legal Data for Banking

Author: Akber Datoo
Publishing date: 2019
A practical, informative guide to banks' major weakness Legal Data for Banking defines the legal data domain in the context of financial institutions, and describes how banks can leverage these assets to optimise business lines and effectively manage risk. Legal data is at the heart of post-2009 regulatory reform, and practitioners need to deepen their grasp of legal data management in order to remain compliant with new rules focusing on transparency in trade and risk reporting. This book provides essential information for IT, project management and data governance leaders, with detailed discussion of current and best practices. Many banks are experiencing recurrent pain points related to legal data management issues, so clear explanations of the required processes,
261.00 zł

Mergent's Handbook of Common Stocks Summer 2008

Author: Mergent Inc.
Publishing date: 2008
For over a century, Mergent has been the preferred source for global business and financial information by providing comprehensive data to savvy investors, both novice and professional. "Mergent's Handbook of Common Stocks[trademark]" offers you quick and easy access to key financial statistics on approximately 900 New York Stock Exchange-listed issues. This handbook, updated quarterly, presents market data, performance ratios, stock prices, and dividend information of recent quarterly results as well as future prospects in succinct one-page profiles. Filled with the latest available facts and figures, "Mergent's Handbook of Common Stocks" helps you make the most informed investment decisions. Special addenda includes: companies added and dropped; recent and pending
407.40 zł

Mastering Attribution in Finance:A practitioner's guide to risk-based analysis of investment returns

Author: Andrew Colin
Publishing date: 2015
Mastering Attribution in Finance is a comprehensive guide to how attribution is used in equity and fixed income markets. Attribution in finance is a key investment and asset management process used in managed funds. A managed fund uses appropriate financial tools to make sure that the fund�s value is maintained or increased. Attribution tools are used to analyse why a portfolio’s performance differs from a benchmark. The difference between the portfolio return and the benchmark return is known as the active return. As with all Mastering titles, this book is written by an expert in the field. It will show you how to: Understand how attribution is used in equity and fixed income markets Improve your knowledge of the mathematics used in performance and
399.00 zł

Micro-Credit Poverty & Empowerment

Author: N Burra
Publishing date: 2005
Two persistent problems that affect a significant portion of Indian women are poverty and violation of their human rights. In recent years, micro-credit has come to be viewed as a vital tool to ameliorate both conditions. However, there are few studies in the Indian context which test the validity of the assumption that there is a linear link between micro-credit, poverty reduction and women`s empowerment. This important and thought provoking volume brings together revealing case studies of micro-credit interventions made by six non-governmental and quasi-governmental bodies in five states of peninsular India, several of which have been supported by the United Nations Development Programme (UNDP). The six case studies are diverse in terms of their socio-economic and
83.00 zł

Money Mavericks

Author: Lars Kroijer
Publishing date: 2012
A new edition of this revealing and incisive account of the incredible inside workings of hedge funds. Shedding light on the incredible inside workings of hedge funds, this book charts the interminable rise of Holte Capital from 2002 to 2008, explaining what it was like to run a hedge fund in a period where the industry went from relative obscurity to something everyone wanted to discuss.  
80.00 zł

MoneyTrack Method

Author: Les Abromovitz
Pam Krueger
Publishing date: 2008
Based on the popular public television series MoneyTrack, The MoneyTrack Method offers you the principles, techniques, and approaches that allow real people of all incomes to become successful investors. Steering you away from the get-rich-quick mentality that sinks so many, this book shows you how patience and planning pay off, as well as how good investing habits lead to better overall financial health. Filled with in-depth insights and real-world examples, The MoneyTrack Method outlines the time-tested principles of smart investing, and shows you how others have already applied them.
89.25 zł

New Global Regulatory Landscape

Author: Ross McGill
Terence Sheppey
Publishing date: 2005
The New Global Regulatory Landscape provides a benchmark tool for financial intermediaries and Institutional Investors. Covering 24 international regulations across the UK, Europe, Asia/Pacific and the USA, the authors provide practical compliance tips for financial intermediaries and guidance on best practice for investors. The book highlights eight areas of critical overlap where regulatory requirements conflict and give rise to potential risk and liability. The authors use the historical perspective of some regulations to paint a picture of the future convergence of international regulation on data protection, corporate governance and tax.
632.10 zł

New Partnerships for Innovation in Microfinance

Author: Matthaus
Publishing date: 2009
Pillar II focuses on collaboration among microfinance providers, governments, private investors and technology companies which help microfinance institutions to integrate new technologies into their business models, reducing cost and increasing outreach to clients.
145.95 zł

Personal Finance

Author: Jeff Madura
Publishing date: 2016
For courses in Personal Finance.   A Hands-On Approach to Financial Planning The main feature of Personal Finance is its hands-on approach keyed to the concepts readers need to build their own financial plans. The text’s seven parts are all pieces of a financial plan; Chapter 21 is the capstone. A running example throughout the book and a variety of end-of-chapter cases reinforce the practical aspects of planning.   The Sixth Edition is fully updated with recent financial trends, such as lower interest rates, changing salaries, and rules for credit card use. With case studies and workable examples throughout, this book is an active tool readers can use to become comfortable managing their finances into the future.   Also Available with
759.00 zł

New Perspectives on Asset Price Bubbles

Author: Douglas Evanoff
Publishing date: 2012
This volume critically re-examines the profession's understanding of asset bubbles in light of the global financial crisis of 2007-09. It is well known that bubbles have occurred in the past, with the October 1929 crash as the most demonstrative example. However, the remarkably well-behaved performance of the US economy from 1945 to 2006, and, in particular during the Great Moderation period of 1984 to 2006, assured the economics profession and monetary policymakers that asset bubbles could be effectively managed with little or no real economic impact. The recent financial crisis has now triggered a debate about the emergence of a sequence of repeated bubbles in the Nasdaq market, housing market, credit market, and commodity markets. The realities of the crisis have
221.30 zł