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Encyclopedia of Finance [[electronic resource] /] / edited by Cheng-Few Lee, Alice C. Lee
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
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Encyclopedia of Finance [[electronic resource] /] / edited by Cheng-Few Lee, Alice C. Lee
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
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Essays on Financial Analytics [[electronic resource] ] : Applications and Methods / / edited by Pascal Alphonse, Karima Bouaiss, Pascal Grandin, Constantin Zopounidis
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  
Cham : , : Springer International Publishing : , : Imprint : Springer, , 2023
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Exchange-Traded Funds [[electronic resource] ] : Investment Practices and Tactical Approaches / / by A. Seddik Meziani
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  
London : , : Palgrave Macmillan UK : , : Imprint : Palgrave Macmillan, , 2016
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
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
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  
Cham : , : Springer International Publishing : , : Imprint : Springer, , 2023
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Financial Decision Aid Using Multiple Criteria [[electronic resource] ] : Recent Models and Applications / / edited by Hatem Masri, Blanca Pérez-Gladish, Constantin Zopounidis
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
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Financial derivatives [[electronic resource] ] : pricing and risk management / / Robert W. Kolb, James A. Overdahl
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->  
Hoboken, NJ, : Wiley, 2009
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Financial derivatives [[electronic resource] ] : pricing and risk management / / Robert W. Kolb, James A. Overdahl
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->  
Hoboken, NJ, : Wiley, 2009
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Financial derivatives [[electronic resource] ] : pricing and risk management / / Robert W. Kolb, James A. Overdahl
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->  
Hoboken, NJ, : Wiley, 2009
Materiale a stampa
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Financial engineering : Certified Financial Engineer (CFE) / / Michael Bloss [and three others]
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  
Berlin, Germany : , : De Gruyter Oldenbourg, , 2015
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui