This book provides a map of the FinTech industry and presents guideposts for navigating the landscape of the sector so that different parties (investors, entrepreneurs, and traditional financial servi
Financial risk has become a focus of financial and nonfinancial firms, individuals, and policy makers. But the study of risk remains a relatively new discipline in finance and continues to be refined.
A practical, real-world guide to investing in IndiaIndia's rapid economic growth offers obvious opportunities for foreign investors, but making wise investing decisions can be difficult for any invest
In-depth coverage in a single handbook of the middle market based on the body of knowledge of the Certified M&A Advisor™ credential programM&A advisors have an unprecedented opportunity in the m
The handbook of theory and practice in bank credit analysis and ratings, fully updated and revised The Bank Credit Analysis Handbook, Second Edition explains the role and methodologies of b
The 2007-2008-2009 financial market crisis has shown that the original principles of banking – sound liquidity risk management – have been forgotten during a prolonged bull market run. Th
The goal of the two ERP volumes is to provide ERP candidates with comprehensive knowledge of the unique link between physical energy commodity markets and financial trade instruments, while also
The goal of the two ERP volumes is to provide ERP candidates with comprehensive knowledge of the unique link between physical energy commodity markets and financial trade instruments, while also helpi
The book will provide the readers with a coherent understanding of the banking environmentand equip them with tangible skills required in order to succeed in this and other sectorsof the financial mar
Ed Thorp and Warren Buffett represent two spectrums of investing: one quantitative, one value driven. Where they align is in their belief that the market is beatable. This book seeks to take the best
The official guide for exam success and career excellenceFinancial Planning Competency Handbook, Second Edition is the essential reference for those at any stage of certification and a one-stop resour
The official CAIA Level 1 curriculum book, updated and expanded to reflect the March 2016 examAlternative Investments: CAIA Level I, 3rd Edition is the curriculum book for the Chartered Alternative In
The New Standard Source of International Cost of Capital AnalysisThe 2015 International Valuation Handbook – Guide to Cost of Capital provides data and methodology guidance that will enable the reader
Advanced Liquidity Risk Models delves into the details of Liquidity Risk and banking management models then offers an overview of Liquidity Components in Internal Transfer Pricing and Liquidity Profit
A highly-detailed, practical analysis of fixed income managementThe Advanced Fixed Income and Derivatives Management Guide provides a completely novel framework for analysis of fixed income securities
This book provides strategies and tactics to help companies manage the integration of acquired and/or merged companies. The book covers the key phases of integration planning and execution and can be
The New Industry Standard in Business Valuation Reference Materials2015 Valuation Handbook ? Guide to Cost of Capital provides the key annual valuation data previously published in (i) the now discont
Praise for The Volatility Surface "I'm thrilled by the appearance of Jim Gatheral's new book The Volatility Surface. The literature on stochastic volatility is vast, but difficult to penetrate a