0
Your cart

Your cart is empty

Browse All Departments
Price
  • R100 - R250 (65)
  • R250 - R500 (304)
  • R500+ (2,291)
  • -
Status
Format
Author / Contributor
Publisher

Books > Business & Economics > Finance & accounting > Finance > Corporate finance

Empowerment, Transparency, Technological Readiness and their Influence on Financial Performance, from a Latin American... Empowerment, Transparency, Technological Readiness and their Influence on Financial Performance, from a Latin American Perspective - A Sector Study (Hardcover)
Martha Rios Manriquez
R2,632 Discovery Miles 26 320 Ships in 12 - 17 working days

In a global economic crisis, many companies go out of business and millions of people are unemployed leaving businesses requiring new models that allow them to redefine themselves. Empowerment, Transparency, Technological Readiness and their Influence on Financial Performance, from a Latin American Perspective like Mexico, presents three key approaches that impact on company financial performance: Empowerment as a necessary approach for human capital to participate in company future. For this, significance, competency, self-determination, impact, and fluidity in the exchange of information, variables are considered Recovering values that have been tarnished by corruption at all levels, and improving transparency in companies through mechanisms as prevention, communication channels, and strategic alliances. The critical use of information and communication technologies as a means to offer products and services, avoiding bankruptcy. Analyzing the use of basic network services and the integration of ICT to improve business management and development, through sector analysis, studying the behavior of companies located in the state of Guanajuato for being one of the main states with the greatest economic dynamism in Mexico, but also one hardest hit by insecurity and corruption. Empowerment, Transparency, Technological Readiness and their Influence on Financial Performance, from a Latin American Perspective showcases in-depth analysis by size, sector of economic activity and type of ownership, allowing companies to obtain information for a broader vision to help make decisions about intervention, market performance and strategy development possibilities.

Corporate Finance: A Practical Approach, Third Edi tion (Hardcover, 3rd Edition): Cfa Institute Corporate Finance: A Practical Approach, Third Edi tion (Hardcover, 3rd Edition)
Cfa Institute
R2,380 Discovery Miles 23 800 Ships in 12 - 17 working days

The complete guide to corporate finance, for today's practitioners from CFA Institute After ten years, the third edition of the CFA Institute Investment Series' Corporate Finance text has arrived with a decisive focus on the needs of today's investment professionals. Now titled Corporate Finance: Economic Foundations and Financial Modeling, this third edition outlines the essential tools, concepts, and applications within the discipline of corporate finance that businesses need to thrive. New and refreshed content on Environmental, Social, and Governance (ESG) considerations alongside foundational coverage of capital structure and measures of leverage empower readers to support the growth of their organizations and develop the skills to succeed in our current corporate world. Six new chapters expand this updated discussion of corporate finance via topics such as corporate structures and ownership, capital investments, business models and risks, corporate restructuring, and more. The companion workbook (sold separately) offers problems and solutions aligning with the text and allows learners to test their comprehension of key concepts. Through Corporate Finance: Economic Foundations and Financial Modeling, 3rd Edition, readers will become proficient in the following areas: Corporate structures and governance Capital budgeting Cost of capital Measures of leverage Business models, risks, and restructurings CFA Institute is the world's premier association for investment professionals, and the governing body for the CFA(R) Program, CIPM(R) Program, CFA Institute ESG Investing Certificate, and Investment Foundations(R) Program. Those seeking a deeper understanding of the fundamentals behind corporate finance will value the level of expertise CFA Institute brings to the discussion, providing a clear, comprehensive resource for students and professionals alike.

Government Intervention in the Reorganisation of Listed Companies in China (Paperback): Huimiao Zhao Government Intervention in the Reorganisation of Listed Companies in China (Paperback)
Huimiao Zhao
R743 Discovery Miles 7 430 Ships in 12 - 17 working days

As a comprehensive empirical study on the bankruptcy re-organisations of listed companies in China, this book examines the re-organisation of fifty-three listed companies entering bankruptcy between 2007 and 2018. It features raw data from thousands of public announcements of listed companies, helping to present a precise panorama of bankruptcy law in China. The author discusses the nature, extent and appropriateness of government intervention in bankruptcies of listed companies. It also examines the effects of bankruptcy institutions established by the bankruptcy laws to constrain government intervention. The findings suggest that such laws have been inadequate to prevent government intervention. In fact, the biggest obstacle to the smooth implementation of China's reorganisation system is government intervention, one distinct characteristic of the socialist market economy. The book will have broader relevance in terms of informing the debate concerning the government's continuing intervention in economic activity in China.

The Law of Corporate Finance: General Principles and EU Law - Volume I: Cash Flow, Risk, Agency, Information (Hardcover, 2010... The Law of Corporate Finance: General Principles and EU Law - Volume I: Cash Flow, Risk, Agency, Information (Hardcover, 2010 ed.)
Petri Mantysaari
R4,654 R4,368 Discovery Miles 43 680 Save R286 (6%) Ships in 12 - 17 working days

"Wenn man eine Erkenntnis als Wissenschaft d- stellen will, so muss man zuvor das Untersch- dende, was sie mit keiner andern gemein hat, und was ihr also eigentumlich ist, genau bestimmen konnen; widrigenfalls die Grenzen aller Wiss- schaften in einander laufen, und keine derselben, ihrer Natur nach, grundlich abgehandelt werden 1 kann. " 1. 1 What Does Corporate Finance Law Mean? The law of corporate finance has been defined in a modern and more holistic way in this three-volume book. In this book, corporate finance law is studied from the perspective of the firm. Like modern commercial law in general, the law of cor- rate finance helps the firm to reach its legal objectives (management of cash flow and the exchange of goods, management of risk, management of agency relati- ships, and management of information). When trying to reach its legal objectives, the firm typically applies generic legal tools and practices (incorporation and choice of business form, contracts, regulation of internal processes through c- pliance and otherwise, typical ways to manage agency relationships, and typical ways to manage information problems) and takes into account legal rules that - long to different traditional fields of law (contract law, company law, banking law, 2 tax law, competition law, and so forth). In corporate finance law, these legal tools 1 Immanuel Kant, Prolegomena (1783), 1."

Enterprise Risk Management in Europe (Hardcover): Marco Maffei Enterprise Risk Management in Europe (Hardcover)
Marco Maffei
R2,635 Discovery Miles 26 350 Ships in 12 - 17 working days

Enterprise Risk Management, governance systems and accounting practices are currently being applied to businesses without full coordination between them. The incorrect use of ERM models all over Europe could be hindering the potential benefits from its correct implementation and could constitute a barrier to the consolidation of a proper risk culture. Enterprise Risk Management in Europe advances understanding of ERM in Europe, providing a novel and unique set of perspectives on the ongoing dynamics between ERM and corporate processes. The contributors provide an in-depth analysis of the research benefits for the countries examined, looking at why, when and how ERM has developed over time. This book focuses on practical issues and identifying existing knowledge gaps, offering a fresh comprehension of the cultural and contextual factors surrounding its inception and further expansion. Also largely discussed is the role played by national and international regulatory and economic circumstances. Enterprise Risk Management in Europe is an essential guide for researchers, practitioners and policy makers both in and beyond European borders.

Modern Computational Finance - Scripting for Derivatives and xVA (Hardcover, Volume 2): A Savine Modern Computational Finance - Scripting for Derivatives and xVA (Hardcover, Volume 2)
A Savine
R2,056 Discovery Miles 20 560 Ships in 12 - 17 working days

An incisive and essential guide to building a complete system for derivative scripting In Volume 2 of Modern Computational Finance Scripting for Derivatives and xVA, quantitative finance experts and practitioners Drs. Antoine Savine and Jesper Andreasen deliver an indispensable and insightful roadmap to the interrogation, aggregation, and manipulation of cash-flows in a variety of ways. The book demonstrates how to facilitate portfolio-wide risk assessment and regulatory calculations (like xVA). Complete with a professional scripting library written in modern C++, this stand-alone volume walks readers through the construction of a comprehensive risk and valuation tool. This essential book also offers: Effective strategies for improving scripting libraries, from basic examples--like support for dates and vectors--to advanced improvements, including American Monte Carlo techniques Exploration of the concepts of fuzzy logic and risk sensitivities, including support for smoothing and condition domains Discussion of the application of scripting to xVA, complete with a full treatment of branching Perfect for quantitative analysts, risk professionals, system developers, derivatives traders, and financial analysts, Modern Computational Finance Scripting for Derivatives and xVA Volume 2 is also a must-read resource for students and teachers in master's and PhD finance programs.

Simple Tools and Techniques for Enterprise Risk Management 2e (Hardcover, 2nd Edition): R.J. Chapman Simple Tools and Techniques for Enterprise Risk Management 2e (Hardcover, 2nd Edition)
R.J. Chapman
R2,226 Discovery Miles 22 260 Ships in 12 - 17 working days

Your business reputation can take years to build--and mere minutes to destroy

The range of business threats is evolving rapidly but your organization can thrive and gain a competitive advantage with your business vision for enterprise risk management. Trends affecting markets--events in the global financial markets, changing technologies, environmental priorities, dependency on intellectual property--all underline how important it is to keep up to speed on the latest financial risk management practices and procedures.

This popular book on enterprise risk management has been expanded and updated to include new themes and current trends for today's risk practitioner. It features up-to-date materials on new threats, lessons from the recent financial crisis, and how businesses need to protect themselves in terms of business interruption, security, project and reputational risk management.

Project risk management is now a mature discipline with an international standard for its implementation. This book reinforces that project risk management needs to be systematic, but also that it must be embedded to become part of an organization's DNA. This book promotes techniques that will help you implement a methodical and broad approach to risk management.The author is a well-known expert and boasts a wealth of experience in project and enterprise risk managementEasy-to-navigate structure breaks down the risk management process into stages to aid implementationExamines the external influences that bring sources of business risk that are beyond your controlProvides a handy chapter with tips for commissioning consultants for business risk management services

It is a business imperative to have a clear vision for risk management. "Simple Tools and Techniques for Enterprise Risk Management, Second Edition" shows you the way.

Fundamentals of Financial Management (Hardcover): Jake Collins Fundamentals of Financial Management (Hardcover)
Jake Collins
R3,491 R3,060 Discovery Miles 30 600 Save R431 (12%) Ships in 10 - 15 working days
Agenda 2021 Tapa Dura Semana Vista - Agenda Semanal 2021, Agenda en espanol, Semana Vista, Agenda de 12 Meses, Planificador... Agenda 2021 Tapa Dura Semana Vista - Agenda Semanal 2021, Agenda en espanol, Semana Vista, Agenda de 12 Meses, Planificador Diaria 2021, aprox. A4, Marmol Blanco (Spanish, Hardcover)
Pilvi Paper
R582 Discovery Miles 5 820 Ships in 12 - 17 working days
Corporate Financial Distress - Restructuring and Turnaround (Hardcover): Alberto Tron Corporate Financial Distress - Restructuring and Turnaround (Hardcover)
Alberto Tron
R2,459 Discovery Miles 24 590 Ships in 12 - 17 working days

Financial distress in corporations is a frequent phenomenon, particularly during times of national and international economic crises; but this can be used as an opportunity and incentive to implement a systematic process of reorganization and revitalization of a business. These plans for recovery can lead to future successes and sustainability rather than just a fix to ensure survival of the business. Crises, if managed promptly from a strategic point of view, can lead to pragmatic changes and bring new value to the company, avoiding market foreclosure and the negative social consequences. Corporate Financial Distress, Restructuring and Turnaround identifies a recovery plan, monitoring, deployment and provides tools to direct economic crises towards financial success in the future and financial stability in the short term. An analysis scheme has been developed and is provided to help measure economic, financial and strategic performance with the why, how and what in relation to the recovery plan. A model for the detection and evaluation of the economic-financial performance implemented by an execution of a recovery plan and a set of indicators for evaluating the variables activated by the process of strategic change are identified. Tron uses alert analysis perspective to examine crises and recovery in business to outline discontinuity with the past in order to address strategic organizational changes and lead the financial process of rehabilitation towards success.

International Financial Management (Hardcover): Angelina Gleason International Financial Management (Hardcover)
Angelina Gleason
R3,534 R3,096 Discovery Miles 30 960 Save R438 (12%) Ships in 10 - 15 working days
Financial Issues in Emerging Economies - SPECIAL ISSUE Including selected papers from II International Conference on Economics... Financial Issues in Emerging Economies - SPECIAL ISSUE Including selected papers from II International Conference on Economics and Finance, 2019, Bengaluru, India (Hardcover)
Rita Biswas, Michael Michaelides
R3,328 Discovery Miles 33 280 Ships in 12 - 17 working days

In this special issue of Research in Finance, editors Rita Biswas and Michael Michaelides compile eleven papers, five of which were selected from the II International Conference on Economics and Finance (ICEF-II) in Bengaluru, India. This volume focuses on a gamut of topics ranging from monetary policy to corporate governance in emerging economies. More specifically, it presents papers on the role of board characteristics and sub-committees on firm performance, the impact of US quantitative easing on countries like India and China, public-private partnerships in infrastructure projects in India, and multinational banking evolution in Nigeria and India. In order to advance the field of international economics and finance, it is necessary to question conventional practice and research approach. Incorporating analysis of classical theories of international finance and economics, the papers in this volume present new innovative theories that seek to do just that. They are essential reading for researchers interested in development economics and emerging finance.

Asset Allocation Strategies for Mutual Funds - Evaluating Performance, Risk and Return (Paperback, 1st ed. 2021): Giuseppe... Asset Allocation Strategies for Mutual Funds - Evaluating Performance, Risk and Return (Paperback, 1st ed. 2021)
Giuseppe Galloppo
R4,264 Discovery Miles 42 640 Ships in 10 - 15 working days

This book offers an overview of the best-working strategies in the field of equity and fixed income mutual fund-based portfolio management. This timely research considers different market conditions, such as global financial crises, across various geographical regions such as the USA and Europe. Combining academic and practical findings, the author presents a practitioner perspective on mutual fund-based portfolio strategies, appealing not only to finance scholars but also professionals within the asset management industry. This book synthesizes a large part of the academic research to date on the mutual fund industry by drawing from the most widely cited academic journals. The author makes a systematic use of numerical examples to facilitate the understanding of Investment themes organized around several important topics: size, diversification, flows, active management, volatility, performance persistence and rating.

The Law and Finance of Related Party Transactions (Paperback, New edition): Luca Enriques, Tobias H. Troeger The Law and Finance of Related Party Transactions (Paperback, New edition)
Luca Enriques, Tobias H. Troeger
R924 Discovery Miles 9 240 Ships in 12 - 17 working days

A globe-spanning group of leading law and finance scholars bring together cutting-edge research to comprehensively examine the challenges legislators face in regulating related party transactions in a socially beneficial way. Combining theoretical analysis of the foundations of efficient regulation with empirical and comparative studies, readers are invited to draw their own conclusions on which regulatory responses work best under differing circumstances. The careful selection of surveyed jurisdictions offers in-depth insight into a broad variety of regulatory strategies and their interdependence with socioeconomic and political conditions. This work should be read by scholars, policymakers, and graduate students interested in a critical, much-debated area of corporate governance.

Dynamical Corporate Finance - An Equilibrium Approach (Paperback, 1st ed. 2021): Umberto Sagliaschi, Roberto Savona Dynamical Corporate Finance - An Equilibrium Approach (Paperback, 1st ed. 2021)
Umberto Sagliaschi, Roberto Savona
R3,484 Discovery Miles 34 840 Ships in 10 - 15 working days

The way in which leverage and its expected dynamics impact on firm valuation is very different from what is assumed by the traditional static capital structure framework. Recent work that allows the firm to restructure its debt over time proves to be able to explain much of the observed cross-sectional and time-series variation in leverage, while static capital structure predictions do not. The purpose of this book is to re-characterize the firm's valuation process within a dynamical capital structure environment, by drawing on a vast body of recent and more traditional theoretical insights and empirical findings on firm evaluation, also including asset pricing literature, offering a new setting in which practitioners and researchers are provided with new tools to anticipate changes in capital structure and setting prices for firm's debt and equity accordingly.

Jainism and Ethical Finance - A Timeless Business Model (Hardcover): Aidan Rankin, Atul Shah Jainism and Ethical Finance - A Timeless Business Model (Hardcover)
Aidan Rankin, Atul Shah
R4,162 Discovery Miles 41 620 Ships in 12 - 17 working days

The financial crisis of 2008 has led to a re-evaluation of the role of financial institutions and their relationship with the wider economy and society. This process has meant an increased questioning of both the conduct of business itself and the principles behind commercial and financial activities. Yet non-western voices have been notably absent from this debate, as have alternatives to the dominant western-derived economic ideologies. From the ancient spiritual wisdom or Dharma of the Jains, there emerges a practical modern philosophy fully in tune with the re-emergence of India as a global economic power. Jain individuals, businesses and charities have played a powerful role in India's rise and within the global Indian Diaspora. Jain communities are noted everywhere for their contributions to business, the professions and science. These successes are based on the principles of interdependence and co-operation, with an emphasis on long-term consolidation rather than short-term bursts of growth. Researchers and students interested in the ethics of finance, accounting and economics will find Jainism and Ethical Finance a scholarly and illuminating evaluation of Jain Dharma as a non-western case study. In the light of current concerns about the way global finance and banking systems operate, this book offers a timely alternative perspective. .

Bankruptcy - The Case for Relief in an Economy of Debt (Paperback): Joseph Spooner Bankruptcy - The Case for Relief in an Economy of Debt (Paperback)
Joseph Spooner
R735 Discovery Miles 7 350 Ships in 12 - 17 working days

A decade after the Global Financial Crisis and Great Recession, developed economies continue to struggle under excessive household debt. While exacerbating inequality and political unrest, this debt - when combined with wage stagnation and a shrinking welfare state - has played a key role in maintaining economic growth and allowing households faced with rising costs of living to make ends meet. In Bankruptcy: The Case for Relief in an Economy of Debt, Joseph Spooner examines this economic model and finds it increasingly unsustainable. In a call to action to reduce debt burden, he turns to bankruptcy law, which is uniquely situated as a mechanism of social insurance against the risks of a debt-dependent economy. This book should be read by anyone interested in understanding the problem of consumer debt and how best to address it.

The Political Economy of Financial Regulation (Paperback): Emilios Avgouleas, David C Donald The Political Economy of Financial Regulation (Paperback)
Emilios Avgouleas, David C Donald
R918 Discovery Miles 9 180 Ships in 12 - 17 working days

This collection of cutting-edge scholarship examines the law and policy of financial regulation using a combination of conceptual analysis and strong empirical research. The book's authors range from global leaders to rising stars in the field, all of whom shed light on complex questions of financial sector regulation theory and practice in key economies ranging from the EU to China. Key topics include the role of law in constituting financial markets, the efficiency of markets, the role of interest groups in shaping financial regulation, the interdependence and interactions of international financial regulation with international trade and monetary regimes, and problems of regulation in state capitalism economies. This exciting volume opens the road for further enrichment of the academic and policy-making dialogue on financial regulation and regulatory practice, and reflects new trends in legal and social-science scholarship.

Contemporary Trends and Challenges in Finance - Proceedings from the 6th Wroclaw International Conference in Finance... Contemporary Trends and Challenges in Finance - Proceedings from the 6th Wroclaw International Conference in Finance (Paperback, 1st ed. 2021)
Krzysztof Jajuga, Hermann Locarek-Junge, Lucjan T. Orlowski, Karsten Staehr
R4,939 Discovery Miles 49 390 Ships in 10 - 15 working days

This volume continues to highlight the latest research contributions presented at the annual Wroclaw conference in Finance (Poland), covering a wide range of topics in the field. The chapters reflect the extent, diversity, and richness of research areas, and discuss both fundamental and applied finance. A detailed analysis of current financial-market problems including specifics of Polish and Central European markets is also part of this volume. Selected chapters also examine the results of advanced financial modeling. These proceedings are a valuable resource for researchers in universities and research and policy institutions, graduate students and practitioners in economics, finance and international economics in both private and government institutions.

Inclusive Finance in China (Paperback, 1st ed. 2021): Yan Li, Lin Wang Inclusive Finance in China (Paperback, 1st ed. 2021)
Yan Li, Lin Wang
R4,249 Discovery Miles 42 490 Ships in 10 - 15 working days

This book explores for the first time the world of micro-finance, Chinese startups, and the digitalization of the Chinese economy. Through the cases such as the Ant Financial Services Group, CFPA Microfinance, micro-financial projects of China Minsheng Bank, Meixing in Nanchong, and more, this book introduces the practical exploration in the recent years from the perspectives of microfinance, financing of small and medium sized enterprises, digital inclusive finance, and credit. From the perspective of management, it especially integrates an enterprise's task, vision, and value into the design of organization process, deeply explores how to realized the double bottom lines of social and financial performances, manifests how microfinance's marginal cost is reduced by digital finance such as data, internet, cloud computing, artificial intelligence and the advantages of digital finance in providing convenient, low-cost, and touchable service, and discusses its huge technological bonus to small-amount, decentralized, and large-quantity microfinance. This book will be of value to journalists, economists and researchers.

ODI from BRIC Countries - Firm-level Evidence (Hardcover, 1st ed. 2019): Valeria Gattai, Rajssa Mechelli, Piergiovanna Natale ODI from BRIC Countries - Firm-level Evidence (Hardcover, 1st ed. 2019)
Valeria Gattai, Rajssa Mechelli, Piergiovanna Natale
R1,469 Discovery Miles 14 690 Ships in 10 - 15 working days

In this book, the authors investigate the rise in outward direct investment (ODI) from four emerging economies, Brazil, Russia, India and China (BRIC). Over the last two decades, these countries have transformed from recipients of foreign direct investment (FDI) into important international investors. This new book explores the reasons behind the impressive surge in ODI from developing economies, and examines the characteristics of firms within BRIC countries by creating and testing a conceptual framework. Addressing the need for a greater understanding of aggregated ODI patterns, the authors focus on the different types of ODI being employed by firms within BRIC countries, covering details such as destinations and foreign ownership structures. By evaluating the correlation between ODI and a firm's performance, this book will be a valuable read for anyone researching international business and emerging economies.

Financial Derivatives - A Blessing or a Curse? (Hardcover): Simon Grima, Eleftherios I. Thalassinos Financial Derivatives - A Blessing or a Curse? (Hardcover)
Simon Grima, Eleftherios I. Thalassinos; Edited by Rebecca E. Dalli Gonzi, Ioannis E. Thalassinos
R2,755 Discovery Miles 27 550 Ships in 12 - 17 working days

Financial Derivatives have long been the subject of conflicting views. For some, they are a useful instrument, too often maligned by those who do not understand them; for others, they are a complete waste of time and money. But which is it? Should we embrace financial derivatives, or fear them? In Financial Derivatives: A Blessing or a Curse? Simon Grima and Eleftherios I. Thalassinos rigorously explore the theory and debates surrounding this controversial topic. First exploring the perceived problems and the uses of derivatives, they study and evaluate the people who use financial derivatives; the impacts of derivatives use; and examples of safe use of derivatives. Looking at real-world examples, Grima and Thalassinos include public case studies on financial firms such as Barings Bank PLC, Allied Irish Bank, and Societe Generale, as well as non-financial firms including Metallgesellschaft AG and Enron. Through these case studies, the roots of firm failure and large losses become clear, asking whether it is the misuse of this financial instrument, rather than the derivatives instrument itself, that is the cause. For students and researchers in finance, or practitioners involved in trading, regulating, or auditing, this is a fundamental text exploring a controversial and relevant concept.

Family Influence on Performance of Family Small and Medium Enterprises (Paperback, 1st ed. 2021): Ana Paula Matias Gama,... Family Influence on Performance of Family Small and Medium Enterprises (Paperback, 1st ed. 2021)
Ana Paula Matias Gama, Catarina Afonso Alves
R3,223 Discovery Miles 32 230 Ships in 10 - 15 working days

This book examines the relationship between family influence and financial performance and non-economic goals in small and medium family-owned enterprises (SME) in Portugal. Research on the performance of family-owned firms is growing but results are mixed, especially for non-listed companies. This book examines smaller family-owned firms that operate in a small, open economy, characterised by a context of relatively weak capital markets and predominantly bank-based financing. Delving into the impact of key variables such as the power dimension, experience and culture on performance establishes, the book goes on to analyse the determinants of performance in such family-owned SMEs. Given the importance of family firms to open economies, this book would be a valuable read to scholars aiming to understand the reasons behind their success, managers seeking out strategic and operational guidance and to regulators and policymakers at the regional and national levels.

Capital Attraction - The Small Balance Real Estate Entrepreneur's Essential Guide to Raising Capital (Hardcover): Matthew... Capital Attraction - The Small Balance Real Estate Entrepreneur's Essential Guide to Raising Capital (Hardcover)
Matthew Burk
R508 R430 Discovery Miles 4 300 Save R78 (15%) Ships in 10 - 15 working days
Risk Assessment and Financial Regulation in Emerging Markets' Banking - Trends and Prospects (Paperback, 1st ed. 2021):... Risk Assessment and Financial Regulation in Emerging Markets' Banking - Trends and Prospects (Paperback, 1st ed. 2021)
Alexander M. Karminsky, Paolo Emilio Mistrulli, Mikhail I. Stolbov, Yong Shi
R4,982 Discovery Miles 49 820 Ships in 10 - 15 working days

This book describes various approaches in modelling financial risks and compiling ratings. Focusing on emerging markets, it illustrates how risk assessment is performed and analyses the use of machine learning methods for financial risk assessment and measurement. It not only offers readers insights into the differences between emerging and developed markets, but also helps them understand the development of risk management approaches for banks. Highlighting current problems connected with the evaluation and modelling of financial risks in the banking sector of emerging markets, the book presents the methodologies applied to credit and market financial risks and integrated and payment risks, and discusses the outcomes. In addition it explores the systemic risks and innovations in banking and risk management by analyzing the features of risk measurement in emerging countries. Lastly, it demonstrates the aggregation of approaches to financial risk for emerging financial markets, comparing the experiences of various countries, including Russia, Belarus, China and Brazil.

Free Delivery
Pinterest Twitter Facebook Google+
You may like...
Notes On Group Financial Statements
Paperback R1,258 R1,118 Discovery Miles 11 180
Assurance - An Audit Perspective
GP Coetzee, R. du Bruyn, … Paperback R884 R803 Discovery Miles 8 030
Corporate Finance - A South African…
L. Alsemgeest, E. Du Toit, … Paperback  (2)
R699 R646 Discovery Miles 6 460
Warren Buffett and the Interpretation of…
Mary Buffett, David Clark Paperback R344 R193 Discovery Miles 1 930
Koos Bekker's Billions
T J Strydom Paperback R320 R250 Discovery Miles 2 500
Managerial Finance
F.O. Skae Paperback R1,100 R985 Discovery Miles 9 850
Graded Questions On Income Tax In South…
Kevin Mitchell, Lindsay Mitchell Paperback R641 Discovery Miles 6 410
Principles of Corporate Finance
Richard Brealey, Stewart Myers, … Paperback R1,782 Discovery Miles 17 820
Options Trading For Beginners - The…
Byron Mcgrady Hardcover R655 Discovery Miles 6 550
ISE Fundamentals of Corporate Finance
Richard Brealey, Stewart Myers, … Paperback R1,754 Discovery Miles 17 540

 

Partners