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Finance Books

You are currently browsing 471–480 of 601 new and published books in the subject of Finance — sorted by publish date from newer books to older books.

For books that are not yet published; please browse forthcoming books.

New and Published Books – Page 48

  1. Guide to Optimal Operational Risk and BASEL II

    By Ioannis S. Akkizidis, Vivianne Bouchereau

    Guide to Optimal Operational Risk and Basel II presents the key aspects of operational risk management that are also aligned with the Basel II requirements. This volume provides detailed guidance for the design and implementation of an efficient operational risk management system. It contains all...

    Published October 31st 2005 by Auerbach Publications

  2. Solvency

    Models, Assessment and Regulation

    By Arne Sandstrom

    Until now there were no published analyses of the recent solvency work conducted in Europe, specifically the risk categories proposed by the International Actuarial Association (IAA). Answering the insurance industry's demand in the wake of the EU Solvency II project, Solvency: Models, Assessment...

    Published September 18th 2005 by Chapman and Hall/CRC

  3. Robust Libor Modelling and Pricing of Derivative Products

    By John Schoenmakers

    Series: Chapman and Hall/CRC Financial Mathematics Series

    One of Riskbook.com's Best of 2005 - Top Ten Finance BooksThe Libor market model remains one of the most popular and advanced tools for modelling interest rates and interest rate derivatives, but finding a useful procedure for calibrating the model has been a perennial problem. Also the respective...

    Published March 28th 2005 by Chapman and Hall/CRC

  4. Modern Actuarial Theory and Practice, Second Edition

    By Philip Booth, Robert Chadburn, Steven Haberman, Dewi James, Zaki Khorasanee, Robert H. Plumb, Ben Rickayzen

    In the years since the publication of the best-selling first edition, the incorporation of ideas and theories from the rapidly growing field of financial economics has precipitated considerable development of thinking in the actuarial profession. Modern Actuarial Theory and Practice, Second Edition...

    Published December 27th 2004 by Chapman and Hall/CRC

  5. Financial Management and Control in Higher Education

    By Eric Morgan, Malcolm Prowle

    Full of tried and tested case material, examples and useful illustrations, this book considers the latest developments and covers all levels of financial management from the structure of the management of institutions right down to the course level and managing budgets....

    Published December 22nd 2004 by Routledge

  6. Financing Higher Education

    Answers from the UK

    By Nicholas Barr, Iain Crawford

    This topical volume tells the story of the UK debate on financing higher education, illustrating a head-on collision between the economic imperatives of student loans and regulated market forces, and the political imperative of 'free' higher education. In telling the story of the partnership of an...

    Published December 22nd 2004 by Routledge

  7. Future Foreign Investment SEA

    Edited by Nick J. Freeman, Frank L. Bartels

    This book explains the dynamics behind Southeast Asia's foreign investment activity, and looks at the region's options for reviving its reputation as an attractive host for foreign investors. Each chapter focuses on a key element; together, they portray southeast Asia's foreign investment profile...

    Published November 10th 2004 by Routledge

  8. Booms, Bubbles and Bust in the US Stock Market

    By David Western

    An extremely user-friendly overview of the inner workings of the US stock market. Things have changed a great deal since the heady days of the 1980s and we are now entering an era of profound uncertainty, with most analysts predicting trouble ahead. Indeed, the alarming decline of the NASDAQ shows...

    Published August 11th 2004 by Routledge

  9. Managing Finance

    By D. Crowther

    Managing Finance is developed from tried and tested materials that are easy to read and work is written from a managerial perspective for general managers on executive or MBA courses. The text focuses on accounting from the viewpoint of the needs of managers for financial information and...

    Published April 1st 2004 by Routledge

  10. Using the Financial and Business Literature

    By Thomas Slavens

    Published March 10th 2004 by CRC Press