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Финансовые рынки и институты

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IGI Global, 2020. — 391 p. — ISBN 1799832570. FinTech is encouraging various new practices, such as diminishing the use of cash in different countries, increasing rate of mobile payments, and introducing new algorithms for high-frequency trading across national boundaries. It is paving the way for new technologies emerging in the information technology scene that allow...
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  • 7,03 МБ
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Wiley, 2019. — 392 p. — ISBN: 9781119362142. The Regulatory Technology Handbook. The transformational potential of RegTech has been confirmed in recent years with US$1.2 billion invested in start-ups (2017) and an expected additional spending of US$100 billion by 2020. Regulatory technology will not only provide efficiency gains for compliance and reporting functions, it will...
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Springer, 2023. — 271 p. — ISBN 3031395190. Payments and financial market infrastructures are vital components of modern economies, yet they have often been overlooked by economists. However, any economic exchange, including financial market transactions, is matched by a payment leg, and the safety, efficiency, and immediacy of the payment, and the problem of linking the two...
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Springer, 2021. — 512 p. — ISBN 3030718336. The aim of this edited volume is to bring together the views of expert academics and practitioners on the latest regulatory developments in sustainable finance in Europe. The volume includes a wide range of cutting-edge issues, which relate to three main themes along which the volume is structured: (1) corporate governance; (2)...
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De Gruyter, 2022. — 705 p. — (De Gruyter Handbooks in Business, Economics and Finance). The De Gruyter Handbook of Sustainable Development and Finance explores the difficult and challenging issues confronting society and the environment, in the contexts of unprecedented climate change, bio-diversity loss and the global pandemic. In this seminal text exploring a wide range of...
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  • 3,19 МБ
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Palgrave, 2021. - 154p. - ISBN: 9783030716929 This book details the difference between the two rating industries, but this difference is converging all the time. The concept of investing in a more responsible and sustainable manner is drawing in some of the world’s leading investors and, with it, regulations and policies are developing at the highest levels. However, the market...
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Rotledge, 2020. — 438 p. — ISBN: 9781138060920. This book provides an up-to-date series of advanced chapters on applied financial econometric techniques pertaining the various fields of commodities finance, mathematics & stochastics, international macroeconomics and financial econometrics. International Financial Markets: Volume I provides a key repository on the current state...
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Rotledge, 2020. — 380 p. — ISBN: 9781138060944. This book provides an up-to-date series of advanced chapters on applied financial econometric techniques pertaining the various fields of commodities finance, mathematics & stochastics, international macroeconomics and financial econometrics. Financial Mathematics, Volatility and Covariance Modelling: Volume 2 provides a key...
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5th ed. — The MIT Press, 2019. — 1088 p. — ISBN: 978-0262039543. A thoroughly revised and updated edition of a textbook for graduate students in finance, with new coverage of global financial institutions. This thoroughly revised and updated edition of a widely used textbook for graduate students in finance now provides expanded coverage of global financial institutions, with...
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Wiley, 2010. — 496 p. This book addresses everything from the valuation of fixed income securities with embedded options to the features of structured products—such as mortgage-backed securities and asset-backed securities—while also offering insights on basic principles like the time value of money. Updated to reflect current market trends, Introduction to Fixed Income...
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6th edition. — Wiley, 2023. — 1930 p. — (Wiley Finance Series). — ISBN 9781119932499. In the newly revised sixth edition of Risk Management and Financial Institutions, celebrated risk and derivatives expert John C. Hull delivers an incisive and comprehensive discussion of financial risk and financial institution regulation. In the book, you’ll learn to understand the financial...
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13th edition. — Cengage Learning, 2020. — 800 p. Develop a clear understanding of why financial markets exist, how financial institutions serve these markets, and what services those institutions offer with Madura's best-selling Financial Markets and Institutions, 13E. Packed with today's real examples and practical applications, this engaging edition clarifies the management,...
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Oxford University Press, 2019. — 808 p. — ISBN 9780190626211. The economic influence of central banks has received ever more attention given their centrality during the financial crises that led to the Great Recession, strains in the European Union, and the challenges to the Euro. The Oxford Handbook of the Economics of Central Banking reflects the state of the art in the...
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O’Reilly Media, 2023. — 111 p. — ISBN-13: 978-1-098-13627-7. If you’re planning, building, or implementing a cloud strategy that supports digitalization for your financial services business, this invaluable guide clearly sets out the crucial factors and questions to consider first. With it, you’ll learn how to avoid the costly and time-consuming pitfalls and disappointments of...
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SCB Distributors, 2013. — 268 p. Gold Wars: Battle for the Global Economy addresses the grotesque, growing and unsustainable imbalances in the financial system. As gold is the barometer of systemic ills, a war on gold–to drive down its price—is taking place to hide the negative impacts of fiat currency, shadow banking and central banking on the global financial system. Starting...
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Palgrave, 2021. — 357 p. — ISBN 3030713369. A new, evolutionary explanation of markets and investor behavior. Half of all Americans have money in the stock market, yet economists can’t agree on whether investors and markets are rational and efficient, as modern financial theory assumes, or irrational and inefficient, as behavioral economists believe. The debate is one of the...
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2nd edition. — Wiley, 2021. — 544 p. — ISBN 978-1118929940. An information to how your cash is managed, with foreword by Nobel laureate Robert Shiller The Fund Industry affords a complete have a look at mutual funds and the funding administration trade, for fund buyers, these working within the fund trade, service suppliers to the trade and college students of monetary...
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Routledge, 2008. — 205 p. Central Banking Governance In The European Union. A Comparative Analysis by Lucia Quaglia fills a gap in academic literature on the politics and public policy aspects of central banking in Europe, by conducting a theoretically-informed and empirically-grounded analysis of central banking governance before and after the establishment of the Economic and...
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Wiley, 2022. — 294 p. Transform your financial organisation’s formula for value creation with this insightful and strategic approach. In Transforming Financial Institutions through Technology Innovation and Operational Change, visionary turnaround leader Joerg Ruetschi delivers a practical and globally relevant methodology and framework for value creation at financial...
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7th Edition. — McGraw-Hill Education, 2019. — 784 p. — ISBN 978-1-260-09195-3. This ISBN:9781260091953 is an International Student edition of Financial Markets And Institutions 7Th Edition by Anthony Saunders (Author), Marcia Millon Cornett (Author). This ISBN is student textbook only. It will not come with access code. The content of this title is the same as other formats...
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Palgrave Macmillan, 2021. — 469 p. — ISBN 978-3-030-76294-0. Effective decision making requires understanding of the underlying principles of financial markets and economics. Intellectually, economics and financial markets are genetically intertwined although when it comes to popular commentary they are treated separately. In fact, academic economic thinking appears separate...
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Wiley, 2021. — 370 p. — ISBN 1119756979. Discover the future of the financial services industry with this insightful new resource on Contextual and Conscious Banking In Banks and Fintech on Platform Economies: Contextual and Conscious Banking, accomplished fintech professional and author Paolo Sironi delivers an insightful examination of how platform theory, born outside of...
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IGI Global, 2019. — 352 p. — ISBN: 1522592695. As more and more emerging markets seek to compete in an ever-growing pool of global competitors, rapidly growing economies are consistently running into issues relating to the proper understanding of fiscal markets. The future of global economics depends on the wellbeing of sustainable economic growth and the expansion of banking...
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Apress Media LLC, 2025. — 566 p. — ISBN-13: 979-8-8688-0896-8. Improving operating leverage is about operational resilience, structural operational efficiency, and sustainable revenue growth. Activity-based enterprise non-interest cost management is an important component of enterprise risk adjusted return management methodology. This book builds on the author Kannan...
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М.: Альпина Паблишер, 2016. — 536 с. — ISBN: 978-5-9614-5711-7, 978-5-9614-5359-1. От издателя Здоровье финансовых рынков зависит от того, насколько хорошо функционирует основная инфраструктура - биржи, центральные контрагенты, центральные депозитарии. Но несмотря на значимость этих институтов, до сих пор нет единого мнения, как правильно управлять ими. Автор этой книги, Рубен...
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