Encyclopedia of Finance [[electronic resource] /] / edited by Cheng-Few Lee, Alice C. Lee |
Edizione | [3rd ed. 2022.] |
Pubbl/distr/stampa | Cham : , : Springer International Publishing : , : Imprint : Springer, , 2022 |
Descrizione fisica | 1 online resource (2746 pages) |
Disciplina | 332 |
Soggetto topico |
Business enterprises - Finance
Accounting Financial engineering Financial statements Financial risk management Econometrics Corporate Finance Financial Accounting Financial Technology and Innovation Financial Reporting Risk Management |
ISBN | 3-030-91231-0 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | Terms and Essays -- Deposit Insurance Schemes -- Gramm-Leach-Bliley Act: Creating a New Bank for a New Millennium -- Pre-funded Coupon and Zero-Coupon Bonds: Cost of Capital Analysis -- Intertemporal Risk and Currency Risk -- Credit Derivatives -- Foreign exchange risk premium and policy uncertainty -- Treasury Inflation-Protected Securities -- Asset Pricing Models -- Conditional Asset Pricing -- Conditional Performance Evaluation -- Working Capital and Cash Flow -- Evaluating Fund Performance Within the Stochastic Discount Factor Framework -- Duration Concepts, Analysis, and Applications -- Loan Contract Terms -- Chinese A and B Shares -- Decimal Trading in the U.S. Stock Markets -- The 1997 NASDAQ Trading Rules -- Reincorporation -- Mean Variance Portfolio Allocation -- Online Trading -- A Critical Evaluation of the Portfolio Performance Indices Under Rank Transformation -- Corporate Failure: Definitions, Methods, and Failure Prediction Models -- Main Bank Relationships, Debt Structure, and Innovation in Japan -- Term Structure: Interest Rate Models -- Review of REIT and MBS -- Experimental Economics and the Theory of Finance -- Merger and Acquisition: Definitions, Motives, and Market Responses -- Multistage Compound Real Options: Theory and Application -- Market Efficiency Hypothesis -- The Microstructure/Micro-Finance Approach to Exchange Rates -- Arbitrage and Market Frictions -- Fundamental Tradeoffs in the Publicly Traded Corporation -- The Mexican Peso Crisis -- Methods for Portfolio Performance Evaluation -- Call Auction Trading -- Market Liquidity -- Market Makers -- Structure of Securities Markets -- Accounting Scandals and Implications for Directors: Lessons from Enron -- Agent-Based Models of Financial Markets -- The Asian Bond Market -- Cross-Border Mergers and Acquisitions -- Jump Diffusion Model -- Networks, Nodes, and Priority Rules -- The Momentum Trading Strategy -- Equilibrium Credit Rationing and Monetary Nonneutrality in a Small Open Economy -- Policy Coordination Between Wages and Exchange Rates in Singapore -- The Le Chatelier Principle of the Capital Market Equilibrium -- MBS Valuation and Prepayments -- The Impacts of IMF Bailouts in International Debt Crises -- Corporate Governance: Structure and Consequences -- A Survey Article on International Banking -- Hedge Funds: Overview, Strategies, and Trends -- An Appraisal of Modeling Dimensions for Performance Appraisal of Global Mutual Funds -- Structural Credit Risk Models: Endogenous Versus Exogenous Default -- Arbitrage Opportunity Set and the Role of Corporations -- Equity Premium Puzzle: The Distributional Approach -- Understanding Ginnie Mae Reverse Mortgage H-REMICs: Its Programs and Cashflow Analysis -- An Analysis of Risk Treatment in the Field of Finance -- The Trading Performance of Dynamic Hedging Models: Time Varying Covariance and Volatility Transmission Effects -- Portfolio Insurance Strategies -- Time-Series and Cross-Sectional Tests of Asset Pricing Models -- Unified Model Arbitrage-free Term Structure of Flow Risks -- A Comparison of Formulas to Compute Implied Standard Deviation -- Securities Transaction Taxes: Literature and Key Issues -- Financial Control and Transfer Pricing -- Alternative Models for Evaluating Convertible Bond: Review and Integration -- A Rationale for Hiring Irrationally Overconfident Managers -- The Statistical Distribution Method, the Decision-Tree Method and Simulation Method for Capital Budgeting Decisions -- Valuation of Interest Tax Shields -- Usefulness of Cash Flow Statements -- Do CEO Gender and Marital Status Affect Firm’s R&D and Value? An Empirical Analysis Using Nonlinear Models -- Three alternative methods for estimating hedge ratios -- Credit Risk Modeling: A General Framework -- Bankruptcy prediction studies across countries using Multiple Criteria Linear Programming (MCLP) data mining approaches -- Application of Difference-in-Differences Strategies in Finance: The Case of Natural Disasters and Bank Responses -- Financial Panel Data Models, Strict versus Contemporaneous Exogeneity, and Durbin-Wu-Hausman Specification Tests -- Accruals and the Asymmetric Timeliness of Earnings: a Decomposition Analysis -- Computer Technology for Financial Service -- Local Volatility Interest Rate Model -- Applications of logistic regression and hazard method in accounting and finance research -- Cube Root Utility Theory -- A Global Comparative Study of Impact Investments Research in Academic Institutions -- Financial Crisis, Capital Requirement and Stress Tests: Evidence from the Extreme Value and Stable Paretian Estimates -- The Economics of and Accounting for Lease Transactions -- Pension accounting, inside Debt, and capital structure -- The Role of Earnings Management in Equity Valuation -- The applications of machine learning in accounting and auditing research -- Internal capital budgeting and allocation in financial firms -- Job Security and CEO Compensation -- Tail-risk protection: Machine Learning meets modern Econometrics -- Structural Breaks in Financial Panel Data -- More on Equilibrium Credit Rationing and Interest Rates: A Theory with New Evidence -- The effect of Basel III on banks' lending -- Mortgage Analysis -- A History of Commercially Available Risk Models -- Short Selling Activity and Effects on Financial Markets and Corporate Decisions -- Simultaneous Equation Models for Financial Planning and Forecasting -- Alternative errors-in-variables models and their applications in finance research -- Optimal Payout Ratio under Uncertainty and the Flexibility Hypothesis: Theory and Empirical Evidence -- Mergers and Acquisitions: Principles and Practices -- Accrual Accounting and Risk: Abnormal Sales Growth and Accruals Quality and Returns -- Applications of Book-Tax Difference in Accounting and Finance Research -- Evaluating Portfolio Risk Management: A New Evidence from DCC Models and Wavelet Approach -- Cash Conversion Cycle and Corporate Performance: Global Evidence -- How Consistent are the Judges of Portfolio Performance? -- Entropy and the Value of Information for Investors -- A Fuzzy Real Option Valuation Approach To Capital Budgeting Under Uncertainty Environment. |
Record Nr. | UNINA-9910595061303321 |
Cham : , : Springer International Publishing : , : Imprint : Springer, , 2022 | ||
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Lo trovi qui: Univ. Federico II | ||
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Encyclopedia of Finance [[electronic resource] /] / edited by Cheng-Few Lee, Alice C. Lee |
Pubbl/distr/stampa | Cham : , : Springer International Publishing : , : Imprint : Springer, , 2021 |
Disciplina | 658.15 |
Soggetto topico |
Business enterprises—Finance
Accounting Financial engineering Bookkeeping Risk management Econometrics Business Finance Financial Accounting Financial Engineering Accounting/Auditing Risk Management |
ISBN | 3-030-73443-9 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | A Brief Review of the Errors-in-Variables Problem in Asset Pricing Tests -- A Comparison of Formulas to Compute Implied Standard Deviation -- A Critical Evaluation of the Portfolio Performance Indices Under Rank Transformation -- A Fuzzy Real Option Valuation Approach To Capital Budgeting Under Uncertainty Environment -- A Global comparative study of impact investments research in academic institutions -- A History of Commercially Available Risk Models -- A Rationale for Hiring Irrationally Overconfident Managers -- A Survey Article on International Banking -- Accounting Scandals and Implications for Directors: Lessons from Enron -- Accrual Accounting and Risk: Abnormal Sales Growth and Accruals Quality and Returns -- Accrual and Conservatism -- Agent-Based Models of Financial Markets -- Alternative errors-in-variables models and their applications in finance research -- Alternative Method of Estimating Volatility -- Alternative Methods for Estimating Firm’s Growth Rate -- Alternative Models for Evaluating Convertible Bond: Review and Integration -- An Analysis of Risk Treatment in the Field of Finance -- An Appraisal of Modeling Dimensions for Performance Appraisal of Global Mutual Funds -- Application of Difference-in-Difference Strategies in Finance: The Case of Natural Disasters and Bank Responses -- Applications of Book-Tax difference in Accounting and Finance research -- Applications of logistic regression and hazard method in accounting and finance research -- Applications of Simultaneous Equations in Finance Research: Methods and Empirical Results -- Arbitrage and Market Frictions -- Arbitrage Opportunity Set and the Role of Corporations -- Assessing Models of Individual Equity Option Prices -- Asset Pricing Models -- Bankruptcy prediction studies across countries using Multiple Criteria Linear Programming (MCLP) data mining approaches -- Call Auction Trading -- Cash Conversion Cycle and Corporate Performance: Global Evidence -- Chinese A and B Shares -- Computer Technology for Financial Service -- Conditional Asset Pricing -- Conditional Performance Evaluation -- Corporate Failure: Definitions, Methods, and Failure Prediction Models -- Corporate Governance: Structure and Consequences -- Credit Derivatives -- Credit Risk Modeling: A General Framework -- Cross-Border Mergers and Acquisitions -- Cube Root Utility Theory -- Decimal Trading in the U.S. Stock Markets -- Deposit Insurance Schemes -- Duration Analysis and Its Applications -- Entropy and the Value of Information for Investors -- Equilibrium Credit Rationing and Monetary Nonneutrality in a Small Open Economy -- Equity Premium Puzzle: The Distributional Approach -- Evaluating Fund Performance Within the Stochastic Discount Factor Framework -- Evaluating Portfolio Risk Management: A New Evidence from DCC Models and Wavelet Approach -- Experimental Economics and the Theory of Finance -- Financial Control and Transfer Pricing -- Financial Crisis, Capital Requirement and Stress Tests: Evidence from the Extreme Value and Stable Paretian Estimates -- Financial Panel Data Models, Strict versus Contemporaneous Exogeneity, and Durbin-Wu-Hausman Specification Tests -- Foreign exchange risk premium and policy uncertainty -- Fundamental Tradeoffs in the Publicly Traded Corporation -- Futures Hedge Ratios: A Review -- Gramm-Leach-Bliley Act: Creating a New Bank for a New Millenium -- Hedge Funds: Overview, Strategies, and Trends -- How Consistent are the Judges of Portfolio Performance? -- Internal capital budgeting and allocation in financial firms -- Intertemporal Risk and Currency Risk -- Investment, Financing Dividend, and Production Policies: Review, Integration, and Extension -- Job Security and CEO Compensation -- Jump Diffusion Model -- Loan Contract Terms -- Main Bank Relationships, Debt Structure, and Innovation in Japan -- Market Efficiency Hypothesis -- Market Liquidity -- Market Makers -- MBS Valuation and Prepayments -- Mean Variance Portfolio Allocation -- Merger and Acquisition: Definitions, Motives, and Market Responses -- Mergers and Acquisitions: Principles and Practices -- More on Equilibrium Credit Rationing and Interest Rates: A Theory with New Evidence -- Mortgage Analysis -- Multistage Compound Real Options: Theory and Application -- Networks, Nodes, and Priority Rules -- Nonlinear Models in Corporate Finance Research: Review, Critique, and Extensions -- Online Trading -- Optimal Payout Ratio under Uncertainty and the Flexibility Hypothesis: Theory and Empirical Evidence -- Pension and Inside Debt -- Policy Coordination Between Wages and Exchange Rates in Singapore -- Political Connections, Financial Constraints, and Corporate Investment -- Portfolio Insurance Strategies -- Portfolio Performance Evaluation -- Pre-funded Coupon and Zero-Coupon Bonds: Cost of Capital Analysis -- Reincorporation -- Review of REIT and MBS -- Risk Management -- Securities Transaction Taxes: Literature and Key Issues -- Short Selling Activity and Effects on Financial Markets and Corporate Decisions -- Structural breaks in financial panel data -- Structural Credit Risk Models: Endogenous Versus Exogenous Default -- Structure of Securities Markets -- Tail-risk protection: Machine Learning meets modern Econometrics -- Term Structure: Interest Rate Models -- Terms and Essays -- The 1997 NASDAQ Trading Rules -- The applications of machine learning in accounting and auditing research -- The Asian Bond Market -- The Economics of and Accounting for Lease Transactions -- The effects of zero lower bound of the monetary policy on financial markets and asset prices under a DSGE framework -- The Impacts of IMF Bailouts in International Debt Crises -- The Le Chatelier Principle of the Capital Market Equilibrium -- The Mexican Peso Crisis -- The Microstructure/Micro-Finance Approach to Exchange Rates -- The Momentum Trading Strategy -- The role of earnings management in equity valuation -- The Statistical Distribution Method, the Decision-Tree Method and Simulation Method for Capital Budgeting Decisions -- The Trading Performance of Dynamic Hedging Models: Time Varying Covariance and Volatility Transmission Effects -- Time-Series and Cross-Sectional Tests of Asset Pricing Models -- Treasury Inflation-Protected Securities -- Understanding Ginnie Mae Reverse Mortgage H-REMICs: Its Programs and Cashflow Analysis -- Usefulness of Cash Flow Statements -- Valuation of Interest Tax Shields -- Working Capital and Cash Flow. |
Record Nr. | UNINA-9910736030603321 |
Cham : , : Springer International Publishing : , : Imprint : Springer, , 2021 | ||
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Lo trovi qui: Univ. Federico II | ||
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Essays on Financial Analytics [[electronic resource] ] : Applications and Methods / / edited by Pascal Alphonse, Karima Bouaiss, Pascal Grandin, Constantin Zopounidis |
Autore | Alphonse Pascal |
Edizione | [1st ed. 2023.] |
Pubbl/distr/stampa | Cham : , : Springer International Publishing : , : Imprint : Springer, , 2023 |
Descrizione fisica | 1 online resource (344 pages) |
Disciplina | 332.076 |
Altri autori (Persone) |
BouaissKarima
GrandinPascal ZopounidisConstantin |
Collana | Lecture Notes in Operations Research |
Soggetto topico |
Operations research
Financial engineering Business - Data processing Financial risk management Financial services industry Management science Operations Research and Decision Theory Financial Engineering Business Analytics Risk Management Financial Services Operations Research, Management Science |
ISBN | 3-031-29050-X |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | Foreign exchange risk hedging policy: Evidence from France -- Use of Financial Instruments among the Chilean households -- IFRS 9 -Financial Assets: Debt Instrument Classification and Management under the new Accounting Standard. A case study of Greek Government Bonds, in Banks’ Investment Portfolios.-Investor Attention and Bitcoin Trading Behaviors -- An answer to Roll’s critique (1977) forty five years later -- Detecting Equity Style Information within Institutional Media -- An Advanced Approach to Algorithmic Portfolio Management -- Financial analytics and decision-making strategies: future prospects from Bibliometrix based on R package -- MONETARY UTILITY FUNCTIONS AND RISK FUNCTIONALS -- Cryptocurrency Portfolios Using Heuristics -- Geographic Dispersion and IPO Underpricing -- The Rise of Fintech & Healthcare SPACs.-KOOPMAN OPERATORS AND EXTENDED DYNAMIC MODE DECOMPOSITION FOR ECONOMIC GROWTH MODELS IN TERMS OF FRACTIONAL DERIVATIVES -- Efficiency, taxation & solvency issues for SMEs: The case of Greece, Italy and Spain. |
Record Nr. | UNINA-9910739412603321 |
Alphonse Pascal
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Cham : , : Springer International Publishing : , : Imprint : Springer, , 2023 | ||
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Lo trovi qui: Univ. Federico II | ||
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Exchange-Traded Funds [[electronic resource] ] : Investment Practices and Tactical Approaches / / by A. Seddik Meziani |
Autore | Meziani A. Seddik |
Edizione | [1st ed. 2016.] |
Pubbl/distr/stampa | London : , : Palgrave Macmillan UK : , : Imprint : Palgrave Macmillan, , 2016 |
Descrizione fisica | 1 online resource (XXVI, 406 p. 23 illus., 20 illus. in color.) |
Disciplina | 658.15 |
Soggetto topico |
Corporations—Finance
Financial engineering Investment banking Securities Banks and banking Capital investments Personal finance Pension plans Corporate Finance Financial Engineering Investments and Securities Banking Investment Appraisal Personal Finance/Wealth Management/Pension Planning |
ISBN | 1-137-39095-6 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | Evolution and outlook of the ETF market : from a trickle to a mighty roar -- Characteristics of exchange-traded funds : weighting myths and realities -- Exploring the tax advantages of exchange-traded funds -- Understanding the complex universe and role of fixed-income funds as investment vehicles -- Jumping on the bond ETF wagon -- Smart-beta ETFs : market growth and performance trends -- Managing volatility risk with minimum-volatility ETFs -- Finding value in environmental, social, and governance ETFs -- Sailing away with emerging markets ETFs -- The frontier markets story : adapting to a new landscape -- Active ETFs : to be or not to be? -- Building fresh tax-advantaged investment strategies with ETFs -- The long and short of ETFs -- Other ETF investment strategies and applications -- Investment strategies using options on ETFs. |
Record Nr. | UNINA-9910254885003321 |
Meziani A. Seddik
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London : , : Palgrave Macmillan UK : , : Imprint : Palgrave Macmillan, , 2016 | ||
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Lo trovi qui: Univ. Federico II | ||
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Finance, Accounting and Law in the Digital Age [[electronic resource] ] : The Impact of Technology and Innovation in the Financial Services Sector / / edited by Nadia Mansour, Lorenzo Mateo Bujosa Vadell |
Autore | Mansour Nadia |
Edizione | [1st ed. 2023.] |
Pubbl/distr/stampa | Cham : , : Springer International Publishing : , : Imprint : Springer, , 2023 |
Descrizione fisica | 1 online resource (799 pages) |
Disciplina | 332.10681 |
Altri autori (Persone) | Bujosa VadellLorenzo-Mateo |
Collana | Contributions to Management Science |
Soggetto topico |
Business enterprises - Finance
Accounting Finance - Law and legislation Financial engineering Business information services Corporate Finance Financial Law Financial Technology and Innovation IT in Business |
ISBN | 3-031-27296-X |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | Chapter 1. Determinants of Investor's Behaviour Towards Mudarabah Investment Deposits: A Case of Pakistan Islamic Banks -- Chapter 2. Empowering the Digital Entrepreneurship Ecosystem in Malaysian Higher Education Institution (HEI) Towards Developing Income Generation -- Chapter 3. Restarting Start-ups Post Covid-19: the Case of Malaysian Start-ups That Reshaped Its Business Performance -- Chapter 4. Coping Behaviour Among High School Students Towards Social Media Anxiety: Experiences from Cluster and Non-cluster Schools in Malaysia -- Chapter 5. The Effect of Social Entrepreneurship Orientation Towards Sustainability Performance in Indonesia -- Chapter 6. Corporate Governance Practices Affecting Performance: A Case Study of Malaysian NGOs of Elderly Care Centres -- Chapter 7. Saving Behaviour Among the University Students in Malaysia -- Chapter 8. Corporate Ethics and Financial Reporting Quality: A Thematic Analysis from Accountants' Perspectives -- Chapter 9. Impact of Covid-19 Pandemic on SME Digitalization in Taiping, Perak -- Chapter 10. It Utilization and Acceptance Framework for Private Clinic in Malaysia- CLIMS (Clinical Information Management System) -- Chapter 11. Comprehensive Supervision Platform (CSP) on Padlet as Open Educational Resources Initiative: Our Experience -- Chapter 12. Qard al-Hasan for SMEs Financing Using Non-Permissible Earnings: Islamic Fintech Solutions for Yemeni IFIs -- Chapter 13. "Towards Faith-based Financing for Poverty Alleviation: The Influence of Religiosity on Entrepreneurship" -- Chapter 14. Examining the Wasta Scale Reliability and Validity -- Chapter 15. How has Covid-19 Pandemic Influenced University Students’ Performance Negatively Through Mental Health and Well-being Problems: The Case of Saudi Students -- Chapter 16. China's Economic Development and Response to Covid-19 -- Chapter 17. From the Perspective of Sustainable Development Concept: Research on Enterprise Environmental Accounting Information Disclosure Mechanism and Influencing Factors -- Chapter 18. Is Your Organization's Operational Risk Management Practice Up to Snuff? A Multiple Case Study on Businesses in Kelantan Malaysia -- Chapter 19. Examining the Effect of Impulse Purchase Behavior in Live Streaming E-commerce Among Generation Z -- Chapter 20. Predicting the Waste Separation Intention and Behaviour Among the Chinese Households -- Chapter 21. Examining the Intention and Adoption of E-learning in the Covid-19 Among the Malaysian Students -- Chapter 22. Green Purchase Intention: The Exploration of Chinese Food Consumers -- Chapter 23. Exploring the Intention and Use of eWallet Among the Young Malaysian: Unified Theory of Acceptance and Use of Technology -- Chapter 24. A Narative Review on Mee Siput Making Machine for Small Industries : Userfriendly or Worst -- Chapter 25. Discovering the Adoption of Eco-friendly Furniture Among Chinese Customers -- Chapter 26. Moderating Role of Organisational Culture on Emotional Intelligence and Conflict Management of Selected Tertiary Institutions in Kumasi, Ghana -- Chapter 27. Human Resources Management Practices in Ghana Health Service Institutions; Employee Welfare and Relations -- Chapter 28. Financial Planning for Retirement: An Integrative Literature Review of the Hershey Model -- Chapter 29. The Effect of E-commerce Promotion Tools on Customer Intention to Buy -- Chapter 30. Business Analytics for Business and Economic Sectors: A Review and Bibliometrics Analysis From 2012 to 2022 -- Chapter 31. Survival of Family Business Partnerships in Malaysia: Governance and Legal Obstacles -- Chapter 32. The Moderating Role of Trust on Pro-environmental Purchasing Behavior: The Case of Malaysian Consumers in North Malaysia -- Chapter 33. Financial Behaviour, Religious Knowledge and Debt Decision Making: A Conceptual Paper -- Chapter 34. The Influence of Entrepreneurial Leadership on Financial Performance of Private Higher Education in Pekanbaru Indonesia: A Conceptual Framework -- Chapter 35. Impact of E-CRM Implementation, Customer Experience, and Customer Loyalty in E-commerce: Literature Review -- Chapter 36. Human Competency Effect on the Usage of Government School Information System ‘DAPODIK’ in Pekanbaru City: A Conceptual Paper -- Chapter 37. Entrepreneurship and Motherhood: A Narrative Analysis of a Woman Entrepreneur -- Chapter 38. Application of Technology Acceptance Model (TAM) in the Adoption of Accounting Information System (AIS) Among Indonesia Private Universities -- Chapter 39. Accounting Practices Intention Among Student Entrepreneurs -- Chapter 40. The Impacts of Social Capital Towards Indigenous Entrepreneurs Socio-economic Development -- Chapter 41. Service Quality Affecting Customer Loyalty at Sharia Banks Driven by Islamic Personality -- Chapter 42. Household Financial Management Based on Maqasid Shariah Toward Sakinah: Case of Riau -- Chapter 43. Factors Influencing Customers' Perception of Online Zakat Payment Among Muslim Employees in Kelantan -- Chapter 44. Indonesian Sharia Banking Transformation Model in the Digital Era : An Overview -- Chapter 45. The Factors Influencing E-learning Adoption Behaviour : A Conceptual Paper -- Chapter 46. Intention to Pay Zakat on Digital Money Among Cryptocurrency Users in Malaysia -- Chapter 47. The Influences of Online Food Images Towards People’s Behavioral Intention to Visit a Restaurant -- Chapter 48. Legal Assurance Against Nursing Professional Nurse Students in the Implementation of Nursing Practice (a Political Urgency of Health Law) -- Chapter 49. Adoption of Food Quality and Safety Standards Among Food Handlers in Malaysia -- Chapter 50. Financial Planning Literacy Among Retirees: Issues and Challenges -- Chapter 51. Agripreneur Insaniah Model in Malaysia: Questionnaire Development and Validation -- Chapter 52. Influence of Online Marketing on Gen X’s Loyalty Towards E-commerce Platform in Malaysia: Case Study of Lazada -- Chapter 53. Awareness of Islamic Consumers Towards Baitul Maal Wat Tamwil (BMT) in Riau -- Chapter 54. Kifayah Limits and the Determination of Asnaf Among the Poor and the Needy Based on Practicing Zakat Institutions in Malaysia -- Chapter 55. Factors of Islamic City Image in Kota Bharu Islamic City Through View of Visitors Using Structural Analysis Approach -- Chapter 56. Sustainable Funding Model for the Bottom 40 Startups: Item Validation -- Chapter 57. Institutional Isomorphism, Accountability and Local Government Performance in Era of Public Governance: A Conceptual Framework -- Chapter 58. Displaying Colorful Products in Physical Stores & E-commerce Sites Without Impacting Color Blind People -- Chapter 59. Does Shariah Audit Framework Matter? Views From Practitioners in Islamic Banks -- Chapter 60. Investigating the Role of Job Demands and Job Resources in Predicting Burnout Among Nursing Home Nurses -- Chapter 61. From Waste to Health: An Innovation of High-fiber Biscuit Using Brown Rice and Banana Peel -- Chapter 62. Covid-19 Evidence Factors Influencing Consumer Behaviour Towards Online Purchase Intention Among Young Adults in Cote D’ivoire -- Chapter 63. The Effect of Food Hawkers’ Behaviour Towards Environmentally Friendly Food Packaging -- Chapter 64. An Application of Actor Network Theory (Ant) in Business-to-business Procurement Platform -- Chapter 65. The Study on Technology Acceptance in Healthcare Business Operation -- Chapter 66. Non-cultural Theorisations of Capital: A Review in Capital Management of Family Business -- Chapter 67. The Effects of Online Review on Online Impulse Buying Behaviour -- Chapter 68. The Importance of Financial Literacy Towards Entrepreneurship Intention Among University Students: A Conceptual Paper -- Chapter 69. A Review of Housing Affordability Disparities in Malaysia -- Chapter 70. Intention to Participate in Cash Waqf Among Mus-lims in Shah Alam, Selangor -- Chapter 71. The Mediating Effect of Work Engagement on the Relationship Between Perceived Organizational Support and Job Performance -- Chapter 72. Adoption of Islamic Banking in Mauritius -- Chapter 73. The Impact of China’s Economic Growth on the Exports Performance of the Asean-6 Countries -- Chapter 74. Food Practitioners’ Knowledge, Attitude, and Practice Impact on Food Safety: A Case Study of Pasar Basah Sungai Siput. |
Record Nr. | UNINA-9910734844103321 |
Mansour Nadia
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Cham : , : Springer International Publishing : , : Imprint : Springer, , 2023 | ||
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Lo trovi qui: Univ. Federico II | ||
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Financial Decision Aid Using Multiple Criteria [[electronic resource] ] : Recent Models and Applications / / edited by Hatem Masri, Blanca Pérez-Gladish, Constantin Zopounidis |
Edizione | [1st ed. 2018.] |
Pubbl/distr/stampa | Cham : , : Springer International Publishing : , : Imprint : Springer, , 2018 |
Descrizione fisica | 1 online resource (XII, 241 p. 28 illus., 19 illus. in color.) |
Disciplina | 332.6 |
Collana | Multiple Criteria Decision Making |
Soggetto topico |
Operations research
Decision making Corporations—Finance Management science Financial engineering Business enterprises—Finance Economics, Mathematical Operations Research/Decision Theory Corporate Finance Operations Research, Management Science Financial Engineering Business Finance Quantitative Finance |
ISBN | 3-319-68876-6 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Record Nr. | UNINA-9910298172203321 |
Cham : , : Springer International Publishing : , : Imprint : Springer, , 2018 | ||
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Lo trovi qui: Univ. Federico II | ||
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Financial derivatives [[electronic resource] ] : pricing and risk management / / Robert W. Kolb, James A. Overdahl |
Autore | Kolb Robert W. <1949-> |
Pubbl/distr/stampa | Hoboken, NJ, : Wiley, 2009 |
Descrizione fisica | 1 online resource (627 p.) |
Disciplina |
332.632283
332.6457 |
Altri autori (Persone) | OverdahlJames A |
Collana | The Robert W. Kolb series in finance |
Soggetto topico |
Derivative securities
Financial engineering |
Soggetto genere / forma | Electronic books. |
ISBN |
0-470-54174-1
1-282-31671-0 9786612316715 1-118-26640-4 0-470-54172-5 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | Financial Derivatives: Pricing and Risk Management; Contents; Introduction; Acknowledgments; Part I: Overview of Financial Derivatives; Part II: Types of Financial Derivatives; Part III: The Structure of Derivatives Markets and Institutions; Part IV: Pricing of Derivatives: Essential Concepts; Part V: Advanced Pricing Techniques; Part VI: Using Financial Derivatives; Index |
Record Nr. | UNINA-9910139981403321 |
Kolb Robert W. <1949->
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Hoboken, NJ, : Wiley, 2009 | ||
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Lo trovi qui: Univ. Federico II | ||
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Financial derivatives [[electronic resource] ] : pricing and risk management / / Robert W. Kolb, James A. Overdahl |
Autore | Kolb Robert W. <1949-> |
Pubbl/distr/stampa | Hoboken, NJ, : Wiley, 2009 |
Descrizione fisica | 1 online resource (627 p.) |
Disciplina |
332.632283
332.6457 |
Altri autori (Persone) | OverdahlJames A |
Collana | The Robert W. Kolb series in finance |
Soggetto topico |
Derivative securities
Financial engineering |
ISBN |
0-470-54174-1
1-282-31671-0 9786612316715 1-118-26640-4 0-470-54172-5 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | Financial Derivatives: Pricing and Risk Management; Contents; Introduction; Acknowledgments; Part I: Overview of Financial Derivatives; Part II: Types of Financial Derivatives; Part III: The Structure of Derivatives Markets and Institutions; Part IV: Pricing of Derivatives: Essential Concepts; Part V: Advanced Pricing Techniques; Part VI: Using Financial Derivatives; Index |
Record Nr. | UNINA-9910830659403321 |
Kolb Robert W. <1949->
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Hoboken, NJ, : Wiley, 2009 | ||
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Lo trovi qui: Univ. Federico II | ||
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Financial derivatives [[electronic resource] ] : pricing and risk management / / Robert W. Kolb, James A. Overdahl |
Autore | Kolb Robert W. <1949-> |
Pubbl/distr/stampa | Hoboken, NJ, : Wiley, 2009 |
Descrizione fisica | 1 online resource (627 p.) |
Disciplina |
332.632283
332.6457 |
Altri autori (Persone) | OverdahlJames A |
Collana | The Robert W. Kolb series in finance |
Soggetto topico |
Derivative securities
Financial engineering |
ISBN |
0-470-54174-1
1-282-31671-0 9786612316715 1-118-26640-4 0-470-54172-5 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | Financial Derivatives: Pricing and Risk Management; Contents; Introduction; Acknowledgments; Part I: Overview of Financial Derivatives; Part II: Types of Financial Derivatives; Part III: The Structure of Derivatives Markets and Institutions; Part IV: Pricing of Derivatives: Essential Concepts; Part V: Advanced Pricing Techniques; Part VI: Using Financial Derivatives; Index |
Record Nr. | UNINA-9910840972303321 |
Kolb Robert W. <1949->
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Hoboken, NJ, : Wiley, 2009 | ||
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Lo trovi qui: Univ. Federico II | ||
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Financial engineering : Certified Financial Engineer (CFE) / / Michael Bloss [and three others] |
Autore | Bloss Michael |
Edizione | [2., überarbeitete und aktualisierte Auflage.] |
Pubbl/distr/stampa | Berlin, Germany : , : De Gruyter Oldenbourg, , 2015 |
Descrizione fisica | 1 online resource (728 p.) |
Disciplina | 332 |
Soggetto topico | Financial engineering |
Soggetto genere / forma | Electronic books. |
ISBN |
3-11-035342-3
3-11-039762-5 |
Classificazione | QP 750 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | ger |
Nota di contenuto | Frontmatter -- Vorwort zur zweiten Auflage -- Vorwort -- Inhaltsübersicht -- Inhaltsverzeichnis -- Abkürzungs- und Symbolverzeichnis -- Abbildungsverzeichnis -- Tabellenverzeichnis -- 1. Financial Engineering. Aufbau und Konzeption -- 2. Repetitorium methodische Grundlagen des Financial Engineering -- 3. Ethische Grundsätze für ein erfolgreiches Financial Engineering -- 4. Terminbörsen und Terminmärkte -- 5. Futures – unbedingte Termingeschäfte -- 6. Optionen – bedingte Termingeschäfte -- 7. Devisentermingeschäfte und Warentermingeschäfte -- 8. OTC-Derivate und exotische Strukturen -- 9. Kreditderivate -- 10. Wetterderivate -- 11. Börsengehandelte Inflationsderivate -- 12. Versicherungsderivate -- 13. Realoptionen -- 14. Derivate zur Strukturierung komplexer Portfolios -- 15. Einsatz von Derivaten im Financial Engineering und im Fondsmanagement -- 16. Die Wertpapierleihe und das Repo-Geschäft -- 17. Risikocontrolling und Margining -- Schlusswort -- 18. Appendix -- Literaturverzeichnis -- Index |
Record Nr. | UNINA-9910460474103321 |
Bloss Michael
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Berlin, Germany : , : De Gruyter Oldenbourg, , 2015 | ||
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Lo trovi qui: Univ. Federico II | ||
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