Palgrave imprint: 15119 books

Offshore Finance and Global Governance

Disciplining the Tax Nomad

by William Vlcek
Language: English
Release Date: November 2, 2016

This book analyzes shifting international taxation strategies in pursuit of tax nomads, individuals and companies who minimize their tax obligations among multiple countries. Focusing on the efforts of the United States, the collective endeavours of the European Union and the global initiative of...

The Global Curse of the Federal Reserve

Manifesto for a Second Monetarist Revolution

by B. Brown
Language: English
Release Date: July 12, 2011

The book reveals how the Global Credit Bubble and Bust of 2003-10 stemmed from giant monetary disequilibrium created by the Federal Reserve. Almost continually that institution has pursued flawed monetary practice and principle which has mutated into Bernanke-ism. The book dissects this and shows how it threatens the return of economic prosperity.

Investor Relations

Principles and International Best Practices in Financial Communications

by Anne Guimard
Language: English
Release Date: May 21, 2013

This practical guide on the theory and practice of Investor Relations combines the art and science of marketing, financial analysis, and financial communications in a single source. It offers expert advice and helpful tips to be used in real business life by corporate executives, financial analysts, students, and anyone competing for capital.
by
Language: English
Release Date: November 7, 2011

While there may be a consensus in the industry that hedge funds clones will bring better liquidity and lower fees, it is still debatable whether replication products should serve as a complement in the hedge fund allocation decision or as a replacement. This book offers the reader valuable insights into the thinking behind hedge fund replication.
by John N. Reynolds, Edmund Newell
Language: English
Release Date: September 28, 2011

The financial crisis focused unprecedented attention on ethics in investment banking. This book develops an ethical framework to assess and manage investment banking ethics and provides a guide to high profile concerns as well as day to day ethical challenges.

OTC Derivatives: Bilateral Trading and Central Clearing

An Introduction to Regulatory Policy, Market Impact and Systemic Risk

by David Murphy
Language: English
Release Date: August 7, 2013

After the credit crisis, supervisors enacted a range of financial reforms. In particular, they radically changed the nature of the OTC derivatives market via a number of measures, notably mandatory central clearing. This book discusses the market before the crisis, explains what central clearing is, and outlines the consequences of the new rules.

The International Corporate Governance System

Audit Roles and Board Oversight

by F. Lessambo
Language: English
Release Date: January 26, 2016

This book provides a comprehensive approach to Corporate Governance, Audit Process and Risk Management. Furthermore, it provides an analytical and comprehensive approach of the issues facing governance directors, internal and external auditors, risk managers, and public officials conducting assessments based upon the Report on Standards and Codes.

The Efficient Market Hypothesists

Bachelier, Samuelson, Fama, Ross, Tobin and Shiller

by Colin Read
Language: English
Release Date: December 15, 2012

Describes the lives, theories, and legacies of six great minds in finance who changed the way we look at financial markets and equilibrium. Bachelier, Samuelson, Fama, Ross, Tobin, and Shiller; proponents and critics of the market efficiency theories who redefined modern finance, creating the foundation on which all financial analysis rests.

Bancassurance in Europe

Past, Present and Future

by Ornella Ricci
Language: English
Release Date: November 21, 2011

This book offers a comprehensive view on bancassurance from its origin to future challenges and opportunities, considering the relevant changes currently interesting the financial services industry. It also provides a detailed review of theoretical and empirical literature dealing with financial conglomeration.

Celebrating Katherine Mansfield

A Centenary Volume of Essays

by
Language: English
Release Date: April 28, 2011

A revisionist study of Mansfield as a profoundly colonial yet daringly experimental writer, at the forefront of modernism. The essays in this volume draw on the complete journals, letters and stories, to reveal Mansfield as a modernist who transcended her artistic influences through a supreme understanding of voice, being and subjectivity.
by J. McDonnell
Language: English
Release Date: August 4, 2010

Katherine Mansfield had a career-long engagement with the literary marketplace from the age of eighteen. This book examines how she developed as a writer within a range of book and periodical publishing contexts, reconsidering her writing's enactment of a commercially viable modern aesthetic in her experimentation with the short story form.
by P. Mullan
Language: English
Release Date: January 30, 2014

Private online digital currency systems offer people accessible, convenient, and inexpensive everyday financial tools outside of traditional bank-owned and operated platforms. Digital currency systems facilitate local and international fund transfers, online and offline payments, and simple cash-to-digital...

Emerging Markets and Financial Resilience

Decoupling Growth from Turbulence

by
Language: English
Release Date: August 23, 2013

Emerging Markets and Financial Resilience presents a picture of finance research. The issue of financial resilience in emerging markets is apt and timely as emerging countries are faced with the challenge of finding ways of sustaining their current trajectory in shaping the global financial architecture to ensure sustainable growth.

Multiple Interest Rate Analysis

Theory and Applications

by M. Osborne
Language: English
Release Date: January 5, 2014

This book is an analysis of all possible interest rates. Dual expressions are used to solve long-standing puzzles, eliminate anomalies and draw conclusions about best practice and sound policy advice in areas of economics and finance. Topics include retail and corporate finance, capital budgeting...
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