Digital Transformation of SAP Supply Chain Processes : Build Mobile Apps Using SAP BTP and SAP Mobile Services / / by Pranay Gupta
| Digital Transformation of SAP Supply Chain Processes : Build Mobile Apps Using SAP BTP and SAP Mobile Services / / by Pranay Gupta |
| Autore | Gupta Pranay <1966-> |
| Edizione | [1st ed. 2024.] |
| Pubbl/distr/stampa | Berkeley, CA : , : Apress : , : Imprint : Apress, , 2024 |
| Descrizione fisica | 1 online resource (262 pages) |
| Disciplina | 658.05 |
| Soggetto topico |
Application software
Internet programming Mobile computing Computer and Information Systems Applications Web Development Mobile Computing |
| ISBN | 979-88-6880-270-6 |
| Formato | Materiale a stampa |
| Livello bibliografico | Monografia |
| Lingua di pubblicazione | eng |
| Nota di contenuto | Chapter 1: Growing Need for Mobility Apps for ERP Solutions -- Chapter 2: Overview of SAP Supply Chain Processes -- Chapter 3: Overview of SAP oDATA Services -- Chapter 4: Overview of SAP BTP and SAP Mobile Services -- Chapter 5: Working with Ionic and Angular Framework to Build iOS Apps -- Chapter 6: Attachments in SAP DMS. |
| Record Nr. | UNINA-9910855400203321 |
Gupta Pranay <1966->
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| Berkeley, CA : , : Apress : , : Imprint : Apress, , 2024 | ||
| Lo trovi qui: Univ. Federico II | ||
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Fintech : the new DNA of financial services / / Pranay Gupta and T. Mandy Tham
| Fintech : the new DNA of financial services / / Pranay Gupta and T. Mandy Tham |
| Autore | Gupta Pranay <1966-> |
| Pubbl/distr/stampa | Boston, Mass., : De G Press, 2019 |
| Descrizione fisica | 1 online resource (xxxi, 514 p.) : ill |
| Disciplina | 332.10688 |
| Soggetto topico | Financial services industry - Technological innovations |
| ISBN |
9781547400904 (ebook)
9781547417087 (pbk.) 9781547400928 1547400927 9781547400904 1547400900 |
| Formato | Materiale a stampa |
| Livello bibliografico | Monografia |
| Lingua di pubblicazione | eng |
| Nota di contenuto | Part 1: An Overview of Fintech -- 1: Fintech and the Disruption of Financial Services -- 2: Fintech in the Context of the Digital Economy -- 3: The Landscape of Fintech -- Part 2: Enablers of a Digital Economy -- 4: Digital Identity -- 5: The Importance of Cloud Computing -- 6: Data Science and Big Data -- 7: Blockchain and Distributed Ledger Technology 2.0 -- 8: Use Cases of Blockchain Technology in Financial Services -- 9: Cryptoassets -- 10: Open Banking: Digital Payments Systems -- 11: Theories of Artificial Intelligence and : Machine Learning -- 12: A Practical Approach to Machine Learning (ML) and Artificial Intelligence (AI) -- Part 3: Fintech Innovations and Disruptions -- 13: Disruption in Asset Servicing -- 14: Disruption in the Capital Markets -- 15: Disruption in Investment Management -- 16: Alternative Data in Portfolio Management -- 17: Online Marketplace Lending -- 18: Lending and Crowdfunding -- 19: Robo-Advisory and Multi-Asset Allocation -- 20: WealthTech -- 21: RegTech: We are coming out of Fintech! -- 22: Digitalizing the Client Lifecycle and KYC/AML with RegTech -- 23: InsurTech: Using China as an Example -- Part 4: The Impact of Fintech -- 24: Technology and the Dislocation of the Fast Moving Consumer Goods Industry -- 25: Legal Implications of Fintech -- Index. |
| Record Nr. | UNINA-9910971067803321 |
Gupta Pranay <1966->
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| Boston, Mass., : De G Press, 2019 | ||
| Lo trovi qui: Univ. Federico II | ||
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Multi-asset investing : a practitioner's framework / / Pranay Gupta, Sven Skallsjö, Bing Li
| Multi-asset investing : a practitioner's framework / / Pranay Gupta, Sven Skallsjö, Bing Li |
| Autore | Gupta Pranay <1966-> |
| Pubbl/distr/stampa | Chichester, West Sussex, United Kingdom : , : John Wiley & Sons Limited, , 2016 |
| Descrizione fisica | 1 online resource (341 p.) |
| Disciplina | 332.6 |
| Soggetto topico |
Portfolio management
Asset allocation Investments |
| ISBN |
1-119-24159-6
1-119-24157-X |
| Classificazione | BUS027000 |
| Formato | Materiale a stampa |
| Livello bibliografico | Monografia |
| Lingua di pubblicazione | eng |
| Nota di contenuto |
Series; Title page; Copyright; Dedication; Preface; About the Authors; Chapter 1 An Introduction to the Multi-Asset Investment Problem; 1.1 WHAT IS MULTI-ASSET INVESTING?; 1.2 THE CONVENTIONAL STRUCTURE; 1.3 TRANSITIONING FROM ACTIVE MANAGEMENT TO EXPOSURE ALLOCATION; 1.4 CREATING AN IMPROVED ALLOCATION STRUCTURE; 1.5 CONSTRUCTING A MULTI-ASSET PORTFOLIO TO MANAGE TAIL RISKS; 1.6 MULTI-ASSET INVESTING IN EMERGING MARKETS; 1.7 FROM MULTI-ASSET STRATEGIES TO MULTI-ASSET SOLUTIONS; 1.8 STRUCTURING A MULTI-ASSET BUSINESS; Chapter 2 The Traditional Allocation Structure
2.1 THE TRADITIONAL INVESTMENT PROCESS2.2 THE ASSET ALLOCATION PROCESS; 2.3 THE BELIEF IN DIVERSIFICATION; 2.4 HARNESSING EQUITY RISK PREMIUM AND THE INVESTMENT HORIZON; 2.5 ASSET CLASSES AS MUTUALLY EXCLUSIVE SILOS; 2.6 ORGANIZATION STRUCTURE AND RESOURCE ALLOCATION; 2.7 IMPLICATIONS FOR SKILL REQUIRED IN ASSET ALLOCATION; 2.8 REQUIREMENTS FOR A REVISED ALLOCATION SOLUTION; 2.9 PARALLEL DEBATES CREATED IN THE SEARCH FOR A REVISED ALLOCATION SOLUTION; Chapter 3 Transitioning from Active Management to Exposure Allocation; 3.1 A HISTORIC RATIONALIZATION OF ALPHA AND BETA 3.2 PROGRESSION OF ACTIVE MANAGEMENT3.3 GENERALIZING THE BETA CONCEPT; 3.4 THE DEMISE OF ASSET CLASS DEMARCATED ALLOCATION; 3.5 IMPLICATIONS FOR THE ACTIVE INVESTMENT PROCESS; 3.6 INVESTMENT STRATEGY CATEGORIZATION; 3.7 POSITIONING OF ALTERNATIVE INVESTMENTS; 3.8 OBSOLESCENCE OF PORTABLE ALPHA; 3.9 POSITIONING OF FUNDAMENTAL INDEXATION AND SMART BETA; 3.10 RISK IN AN EXPOSURE-BASED FRAMEWORK; 3.11 HORIZON-BASED ORGANIZATIONAL DEMARCATION; 3.12 TRANSITION FROM AN ASSET-BASED TO AN EXPOSURE-BASED ORGANIZATION; 3.13 CONCLUSION Chapter 4 Redefining Risk Premium for Multi-Asset Allocation Decisions4.1 INCUMBENT RISK AND RISK PREMIUM FRAMEWORKS; 4.2 FRAMEWORK FOR THE CONCURRENT PRESENCE OF ALL ASSET CLASSES; 4.3 INCORPORATING INTRA-HORIZON RISK; 4.4 RISK AND RETURN PREMIUM FOR ALLOCATION SILOS; 4.5 ASSET CLASS PREMIUMS - COMPARISON OF TRADITIONAL AND PROPOSED METHODS; 4.6 ASSET CLASS PREMIUMS - IMPACT OF DIFFERENT INVESTMENT HORIZONS; 4.7 ASSET CLASS RISK - COMPARISON OF TRADITIONAL AND PROPOSED METHODS; 4.8 ASSET CLASS RISK - IMPACT OF DIFFERENT INVESTMENT HORIZONS; 4.9 SOVEREIGN RISK AND RISK PREMIUM 4.10 APPLICATION TO VARIOUS MULTI-ASSET INVESTMENT PROBLEM SCENARIOS4.11 CONCLUSION; Chapter 5 A Multi-Strategy Allocation Structure; 5.1 CATEGORIES OF ALLOCATION APPROACHES; 5.2 A MULTI-STRATEGY FRAMEWORK FOR THE ALLOCATION PROBLEM; 5.3 THE BENEFITS OF STRATEGY DIVERSIFICATION; 5.4 INDIVIDUAL ALLOCATION METHODOLOGY REQUIREMENTS; 5.5 EXAMPLE OF A MULTI-STRATEGY ALLOCATION APPROACH; 5.6 CONCLUSION; Chapter 6 A Fundamental Exposure Allocation Approach - Business Cycles; 6.1 THE PASSIVE ECONOMIC MODEL; 6.2 AN ACTIVE ECONOMIC APPROACH; 6.3 A FIVE CYCLE ASSET ALLOCATION APPROACH 6.4 CYCLE LIMITING RISK PARAMETERS |
| Record Nr. | UNINA-9910136550003321 |
Gupta Pranay <1966->
|
||
| Chichester, West Sussex, United Kingdom : , : John Wiley & Sons Limited, , 2016 | ||
| Lo trovi qui: Univ. Federico II | ||
| ||
Multi-asset investing : a practitioner's framework / / Pranay Gupta, Sven Skallsjö, Bing Li
| Multi-asset investing : a practitioner's framework / / Pranay Gupta, Sven Skallsjö, Bing Li |
| Autore | Gupta Pranay <1966-> |
| Pubbl/distr/stampa | Chichester, West Sussex, United Kingdom : , : John Wiley & Sons Limited, , 2016 |
| Descrizione fisica | 1 online resource (341 p.) |
| Disciplina | 332.6 |
| Soggetto topico |
Portfolio management
Asset allocation Investments |
| ISBN |
1-119-24159-6
1-119-24157-X |
| Classificazione | BUS027000 |
| Formato | Materiale a stampa |
| Livello bibliografico | Monografia |
| Lingua di pubblicazione | eng |
| Nota di contenuto |
Series; Title page; Copyright; Dedication; Preface; About the Authors; Chapter 1 An Introduction to the Multi-Asset Investment Problem; 1.1 WHAT IS MULTI-ASSET INVESTING?; 1.2 THE CONVENTIONAL STRUCTURE; 1.3 TRANSITIONING FROM ACTIVE MANAGEMENT TO EXPOSURE ALLOCATION; 1.4 CREATING AN IMPROVED ALLOCATION STRUCTURE; 1.5 CONSTRUCTING A MULTI-ASSET PORTFOLIO TO MANAGE TAIL RISKS; 1.6 MULTI-ASSET INVESTING IN EMERGING MARKETS; 1.7 FROM MULTI-ASSET STRATEGIES TO MULTI-ASSET SOLUTIONS; 1.8 STRUCTURING A MULTI-ASSET BUSINESS; Chapter 2 The Traditional Allocation Structure
2.1 THE TRADITIONAL INVESTMENT PROCESS2.2 THE ASSET ALLOCATION PROCESS; 2.3 THE BELIEF IN DIVERSIFICATION; 2.4 HARNESSING EQUITY RISK PREMIUM AND THE INVESTMENT HORIZON; 2.5 ASSET CLASSES AS MUTUALLY EXCLUSIVE SILOS; 2.6 ORGANIZATION STRUCTURE AND RESOURCE ALLOCATION; 2.7 IMPLICATIONS FOR SKILL REQUIRED IN ASSET ALLOCATION; 2.8 REQUIREMENTS FOR A REVISED ALLOCATION SOLUTION; 2.9 PARALLEL DEBATES CREATED IN THE SEARCH FOR A REVISED ALLOCATION SOLUTION; Chapter 3 Transitioning from Active Management to Exposure Allocation; 3.1 A HISTORIC RATIONALIZATION OF ALPHA AND BETA 3.2 PROGRESSION OF ACTIVE MANAGEMENT3.3 GENERALIZING THE BETA CONCEPT; 3.4 THE DEMISE OF ASSET CLASS DEMARCATED ALLOCATION; 3.5 IMPLICATIONS FOR THE ACTIVE INVESTMENT PROCESS; 3.6 INVESTMENT STRATEGY CATEGORIZATION; 3.7 POSITIONING OF ALTERNATIVE INVESTMENTS; 3.8 OBSOLESCENCE OF PORTABLE ALPHA; 3.9 POSITIONING OF FUNDAMENTAL INDEXATION AND SMART BETA; 3.10 RISK IN AN EXPOSURE-BASED FRAMEWORK; 3.11 HORIZON-BASED ORGANIZATIONAL DEMARCATION; 3.12 TRANSITION FROM AN ASSET-BASED TO AN EXPOSURE-BASED ORGANIZATION; 3.13 CONCLUSION Chapter 4 Redefining Risk Premium for Multi-Asset Allocation Decisions4.1 INCUMBENT RISK AND RISK PREMIUM FRAMEWORKS; 4.2 FRAMEWORK FOR THE CONCURRENT PRESENCE OF ALL ASSET CLASSES; 4.3 INCORPORATING INTRA-HORIZON RISK; 4.4 RISK AND RETURN PREMIUM FOR ALLOCATION SILOS; 4.5 ASSET CLASS PREMIUMS - COMPARISON OF TRADITIONAL AND PROPOSED METHODS; 4.6 ASSET CLASS PREMIUMS - IMPACT OF DIFFERENT INVESTMENT HORIZONS; 4.7 ASSET CLASS RISK - COMPARISON OF TRADITIONAL AND PROPOSED METHODS; 4.8 ASSET CLASS RISK - IMPACT OF DIFFERENT INVESTMENT HORIZONS; 4.9 SOVEREIGN RISK AND RISK PREMIUM 4.10 APPLICATION TO VARIOUS MULTI-ASSET INVESTMENT PROBLEM SCENARIOS4.11 CONCLUSION; Chapter 5 A Multi-Strategy Allocation Structure; 5.1 CATEGORIES OF ALLOCATION APPROACHES; 5.2 A MULTI-STRATEGY FRAMEWORK FOR THE ALLOCATION PROBLEM; 5.3 THE BENEFITS OF STRATEGY DIVERSIFICATION; 5.4 INDIVIDUAL ALLOCATION METHODOLOGY REQUIREMENTS; 5.5 EXAMPLE OF A MULTI-STRATEGY ALLOCATION APPROACH; 5.6 CONCLUSION; Chapter 6 A Fundamental Exposure Allocation Approach - Business Cycles; 6.1 THE PASSIVE ECONOMIC MODEL; 6.2 AN ACTIVE ECONOMIC APPROACH; 6.3 A FIVE CYCLE ASSET ALLOCATION APPROACH 6.4 CYCLE LIMITING RISK PARAMETERS |
| Record Nr. | UNINA-9910819242603321 |
Gupta Pranay <1966->
|
||
| Chichester, West Sussex, United Kingdom : , : John Wiley & Sons Limited, , 2016 | ||
| Lo trovi qui: Univ. Federico II | ||
| ||