Label
Wiley finance series
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Incoming Resources
- Swaps and other derivatives, Richard Flavell
- Investment banking, valuation, leveraged buyouts, and mergers & acquisitions, Joshua Rosenbaum, Joshua Pearl
- Operational risk toward Basel III, best practices and issues in modeling, management and regulation, [edited by] Greg N. Gregoriou
- Multi-moment asset allocation and pricing models, edited by Emmanuel Jurczenko and Bertrand Maillet
- Transnational equity analysis, Mark Clatworthy
- Commodities and commodity derivatives, modeling and pricing for agriculturals, metals, and energy, Hélyette Geman
- FX option performance, an analysis of the value delivered by FX options since the start of the market, Jessica James, Jonathan Fullwood, Peter Billington
- Handbook of asset and liability management, from models to optimal return strategies, Alexandre Adam
- Wiley finance series, 702
- Financial forecasting, analysis, and modelling, a framework for long-term forecasting, Michael Samonas
- Islamic capital markets and products, managing capital and liquidity requirements under Basel III, [edited] by Simon Archer, Rifaat Ahmed Abdel Karim
- Carbon finance, the financial implications of climate change, Sonia Labatt, Rodney R. White
- Using Excel for business analysis, a guide to financial modelling fundamentals, Danielle Stein Fairhurst
- The fundamentals of hedge fund management, Daniel A. Strachman
- Equity markets, valuation, and analysis, H. Kent Baker, Greg Filbeck, Halil Kiymaz
- Credit risk modeling using Excel and VBA, Gunter Löffler, Peter N. Posch
- Essays in derivatives, risk-transfer tools and topics made easy, Don M. Chance
- Hedge fund compliance, risks, regulation, and management, Jason Scharfman
- FinTech innovation, from robo-advisors to goal based investing and gamification, Paolo Sironi
- Modern security analysis, understanding Wall Street fundamentals, Martin J. Whitman, Fernando Diz
- The principles of banking, Moorad Choudhry
- Practical risk-adjusted performance measurement, Carl R. Bacon
- The practical guide to Wall Street, equities and derivatives, Matthew Tagliani
- Developments in forecast combination and portfolio choice, edited by Christian Dunis, John Moody, and Allan Timmermann
- Financial modeling using C++ (+ CD), Chandan Sengupta
- Principles of financial modelling, model design and best practices using Excel and VBA, Michael Rees
- The handbook of news analytics in finance, edited by Gautam Mitra and Leela Mitra
- Managing credit risk, the great challenge for global financial markets, John B. Caouette ... [and others]
- Hedge fund modelling and analysis using MATLAB®, Paul Darbyshire, David Hampton
- Financial risk management, applications in market, credit, asset and liability management and firmwide risk, Jimmy Skoglund, Wei Chen
- Market risk management for hedge funds, foundations of the style and implicit value-at-risk, François Duc and Yann Schorderet
- FX options and structured products, Uwe Wystup
- Securitisation swaps, a practitioner's handbook, Mark Aarons, Vlad Ender, Andrew Wilkinson
- Market microstructure, confronting many viewpoints, edited by Frédéric Abergel ... [and others]
- The endowment model of investing, return, risk, and diversification, Martin L. Leibowitz, Anthony Bova, P. Brett Hammond
- The principles of banking, Moorad Choudhry ; with contributions from Polina Bardaeva
- Retirement portfolios, theory, construction, and management, Michael J. Zwecher
- The exchange-traded funds manual, Gary L. Gastineau
- An introduction to international capital markets, products, strategies, participants, Andrew M. Chisholm
- The future of pension management, integrating design, governance, and investing, Keith P. Ambachtsheer
- Optimizing the aging, retirement, and pensions dilemma, Marida Bertocchi, Sandra L. Schwartz, William T. Ziemba
- Strategic asset allocation in fixed-income markets, a MATLAB-based user's guide, Ken Nyholm
- Foundations of Sharī'ah governance of Islamic banks, Karim Ginena, Azhar Hamid
- Financial engineering and arbitrage in the financial markets, Robert Dubil
- Mergers and acquisitions basics, the key steps of acquisitions, divestitures, and investments, Michael E.S. Frankel, Larry Forman
- Chinese securities companies, an analysis of economic growth, financial structure transformation, and future development, Wu Xiaoqiu
- Risk management and shareholders' value in banking, from risk measurement models to capital allocation policies, Andrea Resti and Andrea Sironi
- Machine learning for risk calculations, a practitioner's view, I. Ruiz and M. Zeron ; foreword by P. Karasinski
- The monetary system, analysis and new approaches to regulation, Jean-François Serval and Jean-Pascal Tranié
- Financial risk manager handbook, Philippe Jorion