Macmillan imprint: 15028 books

Combatting Disruptive Change

Beating Unruly Competition at Their Own Game

by Ian I. Mitroff
Language: English
Release Date: May 13, 2016

This book is a critical examination of the main ideas regarding disruptive change and startups. It systematically lays out the full set of challenges and tasks one needs to master in order for existing organizations to weather severe change or make a startup successful. Ian Mitroff outlines the protective...

Market Liquidity Risk

Implications for Asset Pricing, Risk Management, and Financial Regulation

by Andria van der Merwe
Language: English
Release Date: January 12, 2016

Andria van der Merwe provides a thorough guide to the critical tools needed to navigate liquidity markets and value security pricing in the presence of market frictions and information asymmetries. This is essential reading for anyone with a current or future interest in liquidity models, market structures, and trading mechanisms.

Liquidity Risk

Managing Funding and Asset Risk

by E. Banks
Language: English
Release Date: November 6, 2013

Liquidity Management is now a core consideration for banks and other financial institutions following the collapse of numerous well-known banks in 2007-8. This timely new edition will provide practical guidance on liquidity risk and its management – now mandatory under new regulation.

Transaction Banking and the Impact of Regulatory Change

Basel III and Other Challenges for the Global Economy

by R. Wandhöfer
Language: English
Release Date: September 30, 2014

This book takes you on a journey through post-crisis regulatory reform, highlighting the unintended consequences of some of the measures on transaction banking, a business that provides the backbone of financial markets.
by Elena Beccalli, Federica Poli
Language: English
Release Date: August 18, 2015

This book presents research from leading researchers in the European banking field to explore three key areas of banking. In Bank Risk, Governance and Regulation, the authors conduct micro- and macro- level analysis of banking risks and their determinants. They explore areas such as credit quality,...
by
Language: English
Release Date: December 9, 2014

Emerging Markets and Sovereign Risk provides case studies, commentary and analysis on the financial risk management and measurement in the context of frontier and developing counties from international experts covering three key areas of emerging market investments, the rating sovereign risk and managing sovereign risk.

Managing High-Stakes Risk

Toward a New Economics for Survival

by M. Jablonowski
Language: English
Release Date: October 9, 2009

The threat we face from high-stakes risk has never been higher. These challenges include environmental pollution, fragile financial systems and the threat of widespread geopolitical violence. This book suggests that a return to natural risk levels – those in accordance with naturally occurring background levels – is both desirable and achievable.
by David L. Olson, Desheng Dash Wu
Language: English
Release Date: May 26, 2015

Enterprise Risk Management in Finance is a guide to measuring and managing Enterprise-wide risks in financial institutions. Financial institutions operate in a unique manner when compared to other businesses. They are, by the nature of their business, highly exposed to risk at every level, and indeed...

Household Finance

Adrift in a Sea of Red Ink

by D. Chorafas
Language: English
Release Date: February 5, 2013

The 'good life' for households has passed. The unwanted result which accompanied it is the sea of red ink. Confidence in the western way of life will not return until the current mess of a dysfunctional society, and its economy, is cleared out. Household Finance explains why and how this can be done.

IPO Banks

Pitch, Selection and Mandate

by Philippe Espinasse
Language: English
Release Date: June 12, 2014

Former banker Philippe Espinasse, offers advice for the interview, selection and appointment of lead banks, as well as for the execution of an IPO. The book includes case studies from around the world and explains negotiation techniques through which issuers can save considerable time, effort and costs, and also limit their potential liabilities.

Banking Reform in Nigeria

The Aftermath of the 2009 Financial Crisis

by Y. Makanjuola
Language: English
Release Date: April 30, 2016

This book captures Nigeria's crisis management experience and lessons learnt during the five-year tenure of Sanusi Lamido Sanusi as CBN Governor. It provides a backdrop of the sub-prime mortgage crisis in the US characterised by the Lehman Brothers debacle in 2007-08, which precipitated global economic and financial crisis.

Operational Risk Management in Banks

Regulatory, Organizational and Strategic Issues

by Giuliana Birindelli, Paola Ferretti
Language: English
Release Date: July 26, 2017

This book focuses on several topical issues related to the operational risk management in bank: regulation, organisation and strategy. It analyses the connections between the different key-players involved in the operational risk process and the most relevant implications, both operational and strategic, arising from the implementation of the prudential framework.

Crisis and Recovery

Ethics, Economics and Justice

by Larry Elliott, Rowan Williams, Archbishop of Canterbury
Language: English
Release Date: September 23, 2010

During the ongoing global financial crisis, a lack of moral and ethical leadership in society has been exposed. The Most Reverend Rowan Williams, Archbishop of Canterbury and Larry Elliott, The Guardian , bring together their thoughts on the issues of ethics and morality in business, with contributions from leading business figures.

A Flow-of-Funds Perspective on the Financial Crisis Volume I

Money, Credit and Sectoral Balance Sheets

by
Language: English
Release Date: November 29, 2013

Provides a comprehensive overview of a broad range of uses of the flow of funds within the central bank community as well as in the academic field, prepared by international experts in the field. Based on the crisis experience, it offers an overview of lessons for macrofinancial analysis and financial stability.
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