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Books > Money & Finance > Corporate finance

The Billion Dollar Byte - Turn Big Data into Good Profits, the Datapreneur Way (Paperback): D Justhy The Billion Dollar Byte - Turn Big Data into Good Profits, the Datapreneur Way (Paperback)
D Justhy
R356 R324 Discovery Miles 3 240 Save R32 (9%) Ships in 12 - 17 working days

The Billion Dollar Byte equips high-level businesspeople and technologists with the tools and strategies to leverage Big Data to drive ethical "Good Profit." Traditional legacy companies need a framework for making data strategy central to their business models in the same way that the newer Digital Native companies have. The Billion Dollar Byte provides that framework by providing concrete models for creating smart data infrastructures, accurately weighing the value of data and data systems, investing in the right technologies, hiring entrepreneurial people with tech skills, leveraging the full value of data, and much more. It aims to help companies aligns their data strategy with their business model. There is a special importance placed on attracting and retaining the right entrepreneurial-minded technologists that can help leverage data for profit.

Asset Allocation and International Investments (Paperback, 1st ed. 2007): G. Gregoriou Asset Allocation and International Investments (Paperback, 1st ed. 2007)
G. Gregoriou
R5,420 Discovery Miles 54 200 Ships in 10 - 15 working days

This book relates to strategic asset allocation for institutional investors. It consists of a collection of edited papers from academics worldwide on the latest developments in asset allocation, portfolio management and international investments. These expert studies can improve the risk and return characteristics of your investment portfolio.

Corporate Restructuring and Governance in Transition Economies (Paperback, 1st ed. 2007): B. Dallago, I. Iwasaki Corporate Restructuring and Governance in Transition Economies (Paperback, 1st ed. 2007)
B. Dallago, I. Iwasaki
R2,779 Discovery Miles 27 790 Ships in 10 - 15 working days

This book analyzes and assesses corporate restructuring and governance in transition countries focusing on the Czech Republic, Hungary, and Russia. Using original material and publications in local languages, the book addresses the core issues for these countries in transformation into competitive market economies.

Parimutuel Applications In Finance - New Markets for New Risks (Paperback, 1st ed. 2007): Ken Baron, Jeffrey Lange Parimutuel Applications In Finance - New Markets for New Risks (Paperback, 1st ed. 2007)
Ken Baron, Jeffrey Lange
R5,428 Discovery Miles 54 280 Ships in 10 - 15 working days

Financial intermediaries typically offer derivatives to their customers only when they can hedge the exposures from these transactions. Baron and Lange show that parimutuel auctions can be used by financial intermediaries to offer derivatives without exposing themselves to risk.

Operational Risk Management (Paperback, 1st ed. 2007): I Moosa Operational Risk Management (Paperback, 1st ed. 2007)
I Moosa
R4,209 Discovery Miles 42 090 Ships in 10 - 15 working days

Written by an experienced academic and practitioner, Operational Risk Management fills a gap in the information available on the Basel 2 Accord and offers valuable insights into the nature of operational risk.

Working Capital Management (Hardcover, New): Lorenzo Preve, Virginia Sarria-Allende Working Capital Management (Hardcover, New)
Lorenzo Preve, Virginia Sarria-Allende
R1,531 Discovery Miles 15 310 Ships in 12 - 17 working days

As soon as a firm starts operating, and especially once it starts to grow, it needs to come to a decision about how to invest funds, how much cash and inventory to maintain, how much financing to provide to customers, how to obtain the necessary funds, and how much debt to take on and in which terms--all the answers to these questions have serious consequences for a firm's cash flow and profitability.
Working Capital Management is a hands-on look at the crucial decision of how to define and finance the operating investments of a business. Starting with an overview of the fundamental framework of corporate finance, the authors set out to define the central, and usually underestimated, role that working capital plays within this structure. They show not only how to prevent the losses that result from mishandling working capital, but also how to fully exploit the strategic potential that intelligent, expert management of working capital allows. The book is the first to emphasize the relevance of the interplay between the investment and finance aspects of working capital, by discussing all of the main components of a firm's operating expenses from both an investment and finance perspective. After focusing on the varying aspects and themes of working capital, such as inventory management, strategic accounting, trade credit, and short-term debt, the authors move on to identify the long-term implications and opportunities raised by this often overlooked aspect of corporate finance.
Lorenzo Preve and Virginia Sarria-Allende have at last provided a resource that identifies the impact of day-to-day business decisions, uncovering an essential yet often overlooked aspect of all firms' financial situations.

Performance of Mutual Funds - An International Perspective (Paperback, 1st ed. 2007): G. Gregoriou Performance of Mutual Funds - An International Perspective (Paperback, 1st ed. 2007)
G. Gregoriou
R5,423 Discovery Miles 54 230 Ships in 10 - 15 working days

This book responds to a growing demand for mutual funds. This timely collection of original papers focuses on changes of international investment in Europe, the US and New Zealand. Using a fresh approach, innovative techniques and various models this book assesses performance and provides an understanding of mutual funds on an international level.

Handbook of Corporate Finance, Volume 1 - Empirical Corporate Finance (Hardcover): B. Espen Eckbo Handbook of Corporate Finance, Volume 1 - Empirical Corporate Finance (Hardcover)
B. Espen Eckbo
R3,277 Discovery Miles 32 770 Ships in 12 - 17 working days

Judging by the sheer number of papers reviewed in this Handbook, the empirical analysis of firms' financing and investment decisions-empirical corporate finance-has become a dominant field in financial economics. The growing interest in everything "corporate" is fueled by a healthy combination of fundamental theoretical developments and recent widespread access to large transactional data bases. A less scientific-but nevertheless important-source of inspiration is a growing awareness of the important social implications of corporate behavior and governance. This Handbook takes stock of the main empirical findings to date across an unprecedented spectrum of corporate finance issues, ranging from econometric methodology, to raising capital and capital structure choice, and to managerial incentives and corporate investment behavior. The surveys are written by leading empirical researchers that remain active in their respective areas of interest. With few exceptions, the writing style makes the chapters accessible to industry practitioners. For doctoral students and seasoned academics, the surveys offer dense roadmaps into the empirical research landscape and provide suggestions for future work.
*The Handbooks in Finance series offers a broad group of outstanding volumes in various areas of finance
*Each individual volume in the series should present an accurate self-contained survey of a sub-field of finance
*The series is international in scope with contributions from field leaders the world over

Advances in Risk Management (Paperback, 1st ed. 2007): G. Gregoriou Advances in Risk Management (Paperback, 1st ed. 2007)
G. Gregoriou
R5,460 Discovery Miles 54 600 Ships in 10 - 15 working days

This important book brings together an edited series of papers about risk management and the latest developments in the field. Covering topics such as Stochastic Volatility, Risk Dynamics and Portfolio Diversification, this book is vital for optimal portfolio allocation for private and institutional investors, and is an indispensable tool.

Diversification and Portfolio Management of Mutual Funds (Paperback, 1st ed. 2007): G. Gregoriou Diversification and Portfolio Management of Mutual Funds (Paperback, 1st ed. 2007)
G. Gregoriou
R5,472 Discovery Miles 54 720 Ships in 10 - 15 working days

This book addresses the importance of diversification for reducing volatility of investment portfolios. It shows how to improve investment efficiency, and explains how international diversification reduces overall risk while enhancing performance. This book is a crucial tool for any investor looking to improve the profit gain from their investment.

Bank Investing - A Practitioner's Field Guide (Hardcover): Suhail Chandy, Weison Ding Bank Investing - A Practitioner's Field Guide (Hardcover)
Suhail Chandy, Weison Ding
R717 Discovery Miles 7 170 Ships in 12 - 17 working days

Bank Investing: A Practitioner's Field Guide offers you the essential toolkit to become a successful bank investor. It packages practical lessons, theoretical knowledge, and historical context, all into one compelling and hopefully entertaining book. The book includes conversations with investors and management teams. Investors include activists, financials specialists, credit investors, and multibillion-dollar asset managers. Management teams have a broad representation from the c-suite of a broad spectrum of participants ranging from a fintech to a bank with over $30bn in assets. Banks are the oil that lubricates the economy. An understanding of how they operate is essential for analyzing any part of the economy since banks represent a large investing universe and control a sizeable portion of assets. With over 800 public tickers representing over $3 trillion market cap, banks are larger than several other industry groups. Banks are the largest financial intermediaries in the U.S., controlling $15 trillion in financial assets. Their relative size can amplify effects. For example, a small regulatory or environmental change can cascade and ripple through financial markets and have a major impact on the economy. As fintechs gain in prominence, a fundamental grasp of topics related to banking will help enhance understanding of fintech. Bank investing can be a fruitful pursuit: The most successful investor of our times, Warren Buffett, has had a sizeable investment in banks over time (close to a third of his portfolio weight used to be in banks). Banks allow you to make macro-economic bets since they are highly levered to business cycles. Bank investing allows you to scale your knowledge, as they have relatively homogenized business models... ...at the same time, banks are diverse enough to drive meaningful dispersion in price performance. This divergence of performance can be taken advantage of by an astute and prepared securities analyst. Banks are good vehicles to make specific investment plays on geographic regions, demographic trends (suburban to urban migration, aging), industries (agriculture, tech, energy), news flow (trade/tariffs, weather), real estate subsectors (NYC office, bay area apartments), and investing themes such as ESG, cryptocurrency, and venture capital. Finally, fintech disruption is creating an investing opportunity to play the digital divide between banks that embrace technology successfully and those that get left behind.

Corporate Governance - Financial Responsibility,Controls and Ethics (Paperback, Softcover reprint of the original 1st ed.... Corporate Governance - Financial Responsibility,Controls and Ethics (Paperback, Softcover reprint of the original 1st ed. 2004)
E Banks
R1,470 Discovery Miles 14 700 Ships in 12 - 17 working days

Corporate Governance is a text which considers the problems surrounding governance and proposes solutions to help restore investor confidence in the corporate world. The book is intended for board members, corporate executives, regulators, auditors, creditors and analysts seeking a concise analysis of the governance issues facing financial and non-financial corporations round the world. The book is fully international in context and includes real-life examples and cases to emphasize the practical nature of governance problems and solutions.

Financial Dollarization - The Policy Agenda (Paperback, 1st ed. 2006): A Armas, A Ize, E Levy-Yeyati Financial Dollarization - The Policy Agenda (Paperback, 1st ed. 2006)
A Armas, A Ize, E Levy-Yeyati
R2,804 Discovery Miles 28 040 Ships in 10 - 15 working days

This volume provides a rigorous and balanced perspective on the causes and implications of dollarization, and the basic policies and options to deal with it: the adaptation of the monetary and prudential frameworks, the development of local-currency substitutes, and the scope for limiting dollarization through administrative restrictions.

Taxation with Representation - Advice from a Tax Resolution Specialist (Paperback): Patrick LeClaire Taxation with Representation - Advice from a Tax Resolution Specialist (Paperback)
Patrick LeClaire
R372 R312 Discovery Miles 3 120 Save R60 (16%) Ships in 10 - 15 working days
Syndicated Loans - A Hybrid of Relationship Lending and Publicly Traded Debt (Paperback, 1st ed. 2006): Y. Altunbas, B... Syndicated Loans - A Hybrid of Relationship Lending and Publicly Traded Debt (Paperback, 1st ed. 2006)
Y. Altunbas, B Gadanecz, A. Kara
R2,789 Discovery Miles 27 890 Ships in 10 - 15 working days

This book examines the development of the international syndicated credits market over the past three decades. Bringing together views of practitioners and academics it provides original answers to unexplored research questions. With extensive coverage and thought-provoking insights, the book is of value to students, practitioners and academics.

Quantitative Methods for Electricity Trading and Risk Management - Advanced Mathematical and Statistical Methods for Energy... Quantitative Methods for Electricity Trading and Risk Management - Advanced Mathematical and Statistical Methods for Energy Finance (Paperback, 1st ed. 2006)
S Fiorenzani
R5,428 Discovery Miles 54 280 Ships in 10 - 15 working days

This book presents practical Risk Management and Trading applications for the Electricity Markets. Various methodologies developed over the last few years are considered and current literature is reviewed. The book emphasizes the relationship between trading, hedging and generation asset management.

Business and the Euro - Business Groups and the Politics of EMU in Britain and Germany (Paperback, 1st ed. 2006): M. Duckenfield Business and the Euro - Business Groups and the Politics of EMU in Britain and Germany (Paperback, 1st ed. 2006)
M. Duckenfield
R2,768 Discovery Miles 27 680 Ships in 10 - 15 working days

This book explores how British and German business associations formed their political attitudes towards Economic and Monetary Union between 1988 and 1998. With provocative argument and unique insight, it demonstrates how business associations are political entities in their own right, acting strategically to promote members' specific interests.

International Loan Documentation (Paperback, 1st ed. 2006): S. Wright International Loan Documentation (Paperback, 1st ed. 2006)
S. Wright
R8,076 Discovery Miles 80 760 Ships in 10 - 15 working days

A detailed study of the terms of international loan documentation with comprehensive explanations of the purpose of the provisions and of areas which may require negotiation and with an emphasis on the wording of the Loan Market Association documents. This work covers term loans and revolving credits and includes comparisons of the provisions required for investment grade borrowers, special purpose entities and asset and project based credit risks. It includes discussion of security, due diligence and legal opinions as well as Appendices explaining key issues of English law such as trusts and fiduciary duties; and a glossary of expressions commonly used in this area. The book thus provides a highly practical and comprehensive resource for bankers and lawyers, at all levels of experience, involved in international lending.

Asset Management Standards - Corporate Governance for Asset Management (Paperback, 2nd ed. 2006): O. Loistl, Robert Petrag Asset Management Standards - Corporate Governance for Asset Management (Paperback, 2nd ed. 2006)
O. Loistl, Robert Petrag
R5,477 Discovery Miles 54 770 Ships in 10 - 15 working days

Asset management Standards discussion's main focus on governance issues matches the established structural components of the Asset Management Standard's systematic classification. Numerous innovations called for a nearly complete revision. This new edition offers again a reliable source of information on the major issues in asset management.

From Basel 1 to Basel 3 - The Integration of State of the Art Risk Modelling in Banking Regulation (Paperback, 1st ed. 2006):... From Basel 1 to Basel 3 - The Integration of State of the Art Risk Modelling in Banking Regulation (Paperback, 1st ed. 2006)
L. Balthazar
R8,073 Discovery Miles 80 730 Ships in 10 - 15 working days

The proposed rules are presented and key issues regarding implementation of the accord identified. The model used to calibrate the capital requirements under Basel 2 is analyzed and projected forward to present what could be key new elements in the future Basel 3 regulation. A CD-ROM is included to illustrate regulator models.

Foreign Capital Inflows to China, India and the Caribbean - Trends, Assessments and Determinants (Paperback, 1st ed. 2006): A.... Foreign Capital Inflows to China, India and the Caribbean - Trends, Assessments and Determinants (Paperback, 1st ed. 2006)
A. Banik, P. Bhaumik
R2,749 Discovery Miles 27 490 Ships in 10 - 15 working days

This book takes a unique approach to analysing foreign capital flows. Using the neighbourhood model, it analyzes foreign capital inflows from the perspective of both the source and destination countries. Focusing on China, India and the Caribbean, it explores the direct and spillover effects of foreign capital on the destination countries' economy.

Exchange Traded Funds as an Investment Option (Paperback, 1st ed. 2006): A. Meziani Exchange Traded Funds as an Investment Option (Paperback, 1st ed. 2006)
A. Meziani
R5,425 Discovery Miles 54 250 Ships in 10 - 15 working days

Exchange Traded Funds (ETF's) are a relatively new open- ended investment vehicle. Launched in 1993, their appeal as an important and unique financial product has compelled institutional and retail investors to look anew at their almost endless possibilities. This has led to their dramatic expansion. Meziani draws from his academic and corporate expertise to straddle both theory and practice. Using this book, practitioners, academics and students alike will find a thorough explanation of the theoretical ideas underlying ETF's, along with their detailed analysis, communicated in practical and clear terms.

The Future of Financial Markets (Paperback, 1st ed. 2006): D. Mayes The Future of Financial Markets (Paperback, 1st ed. 2006)
D. Mayes
R2,742 Discovery Miles 27 420 Ships in 10 - 15 working days

This book provides a comprehensive review of the prospects for financial markets in the face of rapid technological development and international integration. It offers a revolutionary perspective, exploring the challenges for regulators and demonstrating a network economics approach to explain the failure of e-money to develop.

Economic Capital and Financial Risk Management for Financial Services Firms and Conglomerates (Paperback, 1st ed. 2006): B.... Economic Capital and Financial Risk Management for Financial Services Firms and Conglomerates (Paperback, 1st ed. 2006)
B. Porteous, P. Tapadar
R5,428 Discovery Miles 54 280 Ships in 10 - 15 working days

The authors present a comprehensive and timely discussion of economic capital and financial risk management for financial services firms and conglomerates. Topics covered include: the different types of risks that firms collect; risk governance issues; how stress testing can be used to measure risk; the provision of a clear and precise definition of economic capital; the different types of capital that are eligible to back regulatory capital, and; the development of models that can be used to estimate a firm's economic capital requirements. A unique feature of the book is that, for the first time, the economic capital requirements of financial services firms across the entire risk spectrum, from the short end to the long end, are considered in one book. The authors develop models to estimate the economic capital requirements of banks, asset management firms, life and non-life insurance firms, pension funds, and the financial services conglomerates that comprise these firms. Economic capital is compared to regulatory capital and regulatory capital arbitrage is discussed. The diversification benefit present in financial services conglomerates is quantified and the practical management of this diversification benefit is dealt with. The authors give new insights into capital management and performance measurement for financial services conglomerates and provide detailed descriptions of the main financial services firm regulatory capital changes that are ongoing at the time of writing. This superb and original book charts new ground in the practical application of economic capital for financial services firms and conglomerates. It is required reading for all capital allocation and risk professionals.

Venture Capital, Islamic Finance and SMEs - Valuation, Structuring and Monitoring Practices in India (Paperback, 1st ed. 2006):... Venture Capital, Islamic Finance and SMEs - Valuation, Structuring and Monitoring Practices in India (Paperback, 1st ed. 2006)
M. Durrani, G. Boocock
R3,480 Discovery Miles 34 800 Ships in 10 - 15 working days

This book explores how the venture capital sector supports growth and development of SMEs. The text draws from major international empirical studies in Indian and Islamic industries to analyse techniques used by venture capitalists to value, structure and monitor investments. This book is essential for students, policy makers and practitioners.

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