Palgrave Macmillan: 11161 books

Cover of Equity Derivatives and Hybrids

Equity Derivatives and Hybrids

Markets, Models and Methods

by Oliver Brockhaus
Language: English
Release Date: April 29, 2016

Since the development of the Black-Scholes model, research on equity derivatives has evolved rapidly to the point where it is now difficult to cut through the myriad of literature to find relevant material. Written by a quant with many years of experience in the field this book provides an up-to-date...
Cover of Public Finance and Islamic Capital Markets
by Syed Aun R. Rizvi, Obiyathulla I. Bacha, Abbas Mirakhor
Language: English
Release Date: November 1, 2016

This book addresses the financing of government budgets with non-debt-creating flows through risk-sharing capital market instruments. It offers a comparative analysis with conventional finance to demonstrate the ability of Islamic capital market instruments to create an impetus for economic stability...
Cover of The Gold Standard Anchored in Islamic Finance
by H. Askari, N. Krichene
Language: English
Release Date: December 16, 2014

Askari and Krichene provide a comprehensive background for recent international financial crises rapid expansion of interest-bearing debt and monetary expansion though the fractional reserve banking system. In this context, the authors provide an analysis of the experience and issues associated with...
Cover of Macroeconomic Policy and Islamic Finance in Malaysia
by Abbas Mirakhor, Azura Othman, Syed Othman Alhabshi
Language: English
Release Date: October 10, 2017

This book offers an alternative framework for macroeconomic policy in Malaysia, derived from the universal principles of social justice espoused in the objectives of the Shariah. It attempts to holistically analyze issues related to public finance, which has been criticized for lack of transparency...
Cover of Emerging Asia

Emerging Asia

Essays on Crises, Capital Flows, FDI and Exchange Rates

by R. Rajan
Language: English
Release Date: April 28, 2011

This book on the different aspects of international economic policy covers financial crises, reserve accumulation, capital flows and currency wars as well as issues relating to foreign direct investment and developments in China and India.
Cover of Intermediate Microeconomics
by Doctor Robert Mochrie
Language: English
Release Date: October 26, 2015

This innovative intermediate microeconomics textbook covers both standard theory and exciting topics and developments, such as behavioural economics and advanced game theory. The book's unique problem-solving approach encourages active learning, introducing the mathematical tools that underpin economic theory in an accessible, student-friendly way.
Cover of Optimization Methods for Gas and Power Markets
by Enrico Edoli, Stefano Fiorenzani, Tiziano Vargiolu
Language: English
Release Date: April 30, 2016

As power and gas markets are becoming more and more mature and globally competitive, the importance of reaching maximum potential economic efficiency is fundamental in all the sectors of the value chain, from investments selection to asset optimization, trading and sales. Optimization techniques can...
Cover of Bank Stability, Sovereign Debt and Derivatives
by
Language: English
Release Date: October 30, 2013

The latest scholarly developments in research on banking, financial markets, and the recent financial crisis. This selection of papers were presented at the Wolpertinger Conference held in Valletta, Malta, 2012 and provide insights into bank performance, banking risk, securitisation, bank stability, sovereign debt and derivatives.
Cover of Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by A. Roselli
Language: English
Release Date: November 8, 2011

A survey of past financial crises, starting with the great banking collapses of the interwar period. The current turmoil has prompted a number of questions regarding both its origins and ways to avoid its repetition. The historical background and the evolving institutional framework of banking and financial systems are at the center of this book.
Cover of The Italian Banking System

The Italian Banking System

Impact of the Crisis and Future Perspectives

by Stefano Cosma
Language: English
Release Date: November 13, 2012

Why was the Italian Banking System more resilient during the sub-prime crisis and harder-hit in the sovereign crisis? Will their strength in the retail market result as an asset or a liability for Italian banks in the future? This book offers an in-depth analysis of one of the most important EU banking systems its attempts to weather the crisis.
Cover of Peak Load and Capacity Pricing

Peak Load and Capacity Pricing

Theory and Practice in Electricity

by C. Harris
Language: English
Release Date: April 9, 2015

Peak Load and Capacity Pricing lays out clear pricing strategies for understanding peak load and capacity pricing structures, further cementing electricity's role as an asset class with fixed and variable costs.
Cover of The Foundations of Modern Time Series Analysis
by Terence C. Mills
Language: English
Release Date: June 29, 2011

This book develops the analysis of Time Series from its formal beginnings in the 1890s through to the publication of Box and Jenkins' watershed publication in 1970, showing how these methods laid the foundations for the modern techniques of Time Series analysis that are in use today.
Cover of Advanced Simulation-Based Methods for Optimal Stopping and Control
by Denis Belomestny, John Schoenmakers
Language: English
Release Date: January 31, 2018

This is an advanced guide to optimal stopping and control, focusing on advanced Monte Carlo simulation and its application to finance. Written for quantitative finance practitioners and researchers in academia, the book looks at the classical simulation based algorithms before introducing some of the new, cutting edge approaches under development.
Cover of The Cost of Capital
by E. Porras
Language: English
Release Date: December 14, 2010

The relationship between risk, return and the cost of capital is contextualized by relating it to the needs of investors and borrowers, the historical evidence, and theories of choice and behavior. The text spans financial theory, its empirical tests and applications to real-world financial problems while keeping an entertaining easy-to-read style.
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