top

  Info

  • Utilizzare la checkbox di selezione a fianco di ciascun documento per attivare le funzionalità di stampa, invio email, download nei formati disponibili del (i) record.

  Info

  • Utilizzare questo link per rimuovere la selezione effettuata.
Can finance save the world? : regaining power over money to serve the common good / / Bertrand Badré ; forewords by Emmanuel Macron, President of the French Republic, and Gordon Brown, Former Prime Minister of the United Kingdom
Can finance save the world? : regaining power over money to serve the common good / / Bertrand Badré ; forewords by Emmanuel Macron, President of the French Republic, and Gordon Brown, Former Prime Minister of the United Kingdom
Autore Badré Bertrand
Pubbl/distr/stampa Berrett-Koehler Publishers
Disciplina 332/.042
Soggetto topico International finance
Monetary policy
BUSINESS & ECONOMICS / Economics / Theory
BUSINESS & ECONOMICS / Finance
BUSINESS & ECONOMICS / International / Economics
Classificazione BUS069030BUS027000BUS069020
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Altri titoli varianti Can Finance Save the World?
Record Nr. UNINA-9910794622103321
Badré Bertrand  
Berrett-Koehler Publishers
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Can finance save the world? : regaining power over money to serve the common good / / Bertrand Badré ; forewords by Emmanuel Macron, President of the French Republic, and Gordon Brown, Former Prime Minister of the United Kingdom
Can finance save the world? : regaining power over money to serve the common good / / Bertrand Badré ; forewords by Emmanuel Macron, President of the French Republic, and Gordon Brown, Former Prime Minister of the United Kingdom
Autore Badré Bertrand
Pubbl/distr/stampa Berrett-Koehler Publishers
Disciplina 332/.042
Soggetto topico International finance
Monetary policy
BUSINESS & ECONOMICS / Economics / Theory
BUSINESS & ECONOMICS / Finance
BUSINESS & ECONOMICS / International / Economics
Classificazione BUS069030BUS027000BUS069020
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Altri titoli varianti Can Finance Save the World?
Record Nr. UNINA-9910812170203321
Badré Bertrand  
Berrett-Koehler Publishers
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
The conceptual foundations of investing : a short book of need-to-know essentials / / Bradford Cornell, Andrew Cornell, Shaun Cornell
The conceptual foundations of investing : a short book of need-to-know essentials / / Bradford Cornell, Andrew Cornell, Shaun Cornell
Autore Cornell Bradford
Edizione [First edition.]
Pubbl/distr/stampa Hoboken : , : WILEY, , [2018]
Descrizione fisica 1 online resource (258 pages)
Disciplina 332.6
Soggetto topico Finance, Personal
Investments
BUSINESS & ECONOMICS / Finance
Soggetto genere / forma Electronic books.
ISBN 1-119-51631-5
1-119-51632-3
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Machine generated contents note: Preface Chapter 1 - Returns Chapter 2 - The Economic Structure on Investment Markets Chapter 3 - Bonds and Inflation Chapter 4 - Risk and Return Chapter 5 - Fundamental Analysis and Valuation Chapter 6 - Transaction costs Fees and Taxes Chapter 7 - Can History be trusted Chapter 8 - Can Behavioral Anomalies be Exploited Chapter 9 - Alternative Investments Chapter 10 - Investment Suggestions and Postscript Index.
Record Nr. UNINA-9910466818703321
Cornell Bradford  
Hoboken : , : WILEY, , [2018]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
The conceptual foundations of investing : a short book of need-to-know essentials / / Bradford Cornell, Andrew Cornell, Shaun Cornell
The conceptual foundations of investing : a short book of need-to-know essentials / / Bradford Cornell, Andrew Cornell, Shaun Cornell
Autore Cornell Bradford
Edizione [First edition.]
Pubbl/distr/stampa Hoboken : , : WILEY, , [2018]
Descrizione fisica 1 online resource (258 pages)
Disciplina 332.6
Soggetto topico Finance, Personal
Investments
BUSINESS & ECONOMICS / Finance
ISBN 1-119-51631-5
1-119-51632-3
Classificazione BUS027000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Machine generated contents note: Preface Chapter 1 - Returns Chapter 2 - The Economic Structure on Investment Markets Chapter 3 - Bonds and Inflation Chapter 4 - Risk and Return Chapter 5 - Fundamental Analysis and Valuation Chapter 6 - Transaction costs Fees and Taxes Chapter 7 - Can History be trusted Chapter 8 - Can Behavioral Anomalies be Exploited Chapter 9 - Alternative Investments Chapter 10 - Investment Suggestions and Postscript Index.
Record Nr. UNINA-9910793144703321
Cornell Bradford  
Hoboken : , : WILEY, , [2018]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
The conceptual foundations of investing : a short book of need-to-know essentials / / Bradford Cornell, Andrew Cornell, Shaun Cornell
The conceptual foundations of investing : a short book of need-to-know essentials / / Bradford Cornell, Andrew Cornell, Shaun Cornell
Autore Cornell Bradford
Edizione [First edition.]
Pubbl/distr/stampa Hoboken : , : WILEY, , [2018]
Descrizione fisica 1 online resource (258 pages)
Disciplina 332.6
Soggetto topico Finance, Personal
Investments
BUSINESS & ECONOMICS / Finance
ISBN 1-119-51631-5
1-119-51632-3
Classificazione BUS027000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Machine generated contents note: Preface Chapter 1 - Returns Chapter 2 - The Economic Structure on Investment Markets Chapter 3 - Bonds and Inflation Chapter 4 - Risk and Return Chapter 5 - Fundamental Analysis and Valuation Chapter 6 - Transaction costs Fees and Taxes Chapter 7 - Can History be trusted Chapter 8 - Can Behavioral Anomalies be Exploited Chapter 9 - Alternative Investments Chapter 10 - Investment Suggestions and Postscript Index.
Record Nr. UNINA-9910828810203321
Cornell Bradford  
Hoboken : , : WILEY, , [2018]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Financial independence (getting to point X) : a comprehensive tax-smart wealth management guide / / John J. Vento
Financial independence (getting to point X) : a comprehensive tax-smart wealth management guide / / John J. Vento
Autore Vento John J.
Edizione [Second edition.]
Pubbl/distr/stampa Hoboken, NJ : , : Wiley, , [2018]
Descrizione fisica 1 online resource (483 pages)
Disciplina 332.02400973
Soggetto topico Finance, Personal - United States
BUSINESS & ECONOMICS / Finance
Soggetto genere / forma Electronic books.
ISBN 1-119-51035-X
1-119-51038-4
1-119-51036-8
Classificazione BUS027000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Machine generated contents note: Foreword Preface Acknowledgments Introduction What's New in the 2nd Edition Chapter 1 - Committing to Living within your means Chapter 2 - Understanding Taxes Chapter 3 - Determining your Financial Position Chapter 4 - Managing Debt Chapter 5 - Insuring your Health and Life Chapter 6 - Protecting your Property with Insurance Chapter 7 - Paying for College Chapter 8 - Planning for Retirement Chapter 9 - Managing your Investments Chapter 10 - Preserving your Estate Chapter 11 - Starting your Own Business Chapter 12 - The Time Value of Money Appendix A Appendix B Appendix C About the Author Index.
Record Nr. UNINA-9910555171003321
Vento John J.  
Hoboken, NJ : , : Wiley, , [2018]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Financial independence (getting to point X) : a comprehensive tax-smart wealth management guide / / John J. Vento
Financial independence (getting to point X) : a comprehensive tax-smart wealth management guide / / John J. Vento
Autore Vento John J.
Edizione [Second edition.]
Pubbl/distr/stampa Hoboken, NJ : , : Wiley, , [2018]
Descrizione fisica 1 online resource (483 pages)
Disciplina 332.02400973
Soggetto topico Finance, Personal - United States
BUSINESS & ECONOMICS / Finance
ISBN 1-119-51035-X
1-119-51038-4
1-119-51036-8
Classificazione BUS027000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Machine generated contents note: Foreword Preface Acknowledgments Introduction What's New in the 2nd Edition Chapter 1 - Committing to Living within your means Chapter 2 - Understanding Taxes Chapter 3 - Determining your Financial Position Chapter 4 - Managing Debt Chapter 5 - Insuring your Health and Life Chapter 6 - Protecting your Property with Insurance Chapter 7 - Paying for College Chapter 8 - Planning for Retirement Chapter 9 - Managing your Investments Chapter 10 - Preserving your Estate Chapter 11 - Starting your Own Business Chapter 12 - The Time Value of Money Appendix A Appendix B Appendix C About the Author Index.
Record Nr. UNINA-9910830218503321
Vento John J.  
Hoboken, NJ : , : Wiley, , [2018]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Financial Statement Analysis [[electronic resource] ] : A Practitioner's Guide
Financial Statement Analysis [[electronic resource] ] : A Practitioner's Guide
Autore Fridson Martin S
Edizione [4th ed.]
Pubbl/distr/stampa Hoboken, : Wiley, 2011
Descrizione fisica 1 online resource (400 p.)
Disciplina 657.3
657/.3
Altri autori (Persone) AlvarezFernando
Collana Wiley Finance
Soggetto topico BUSINESS & ECONOMICS / Finance
Financial statements
Ratio analysis
ISBN 1-119-20148-9
1-283-17595-9
9786613175953
1-118-06418-6
Classificazione BUS027000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto FinancialStatementAnalysis; Contents; Preface to Fourth Edition; Acknowledgments; PART ONE Reading between the Lines; CHAPTER 1 The Adversarial Nature of Financial Reporting; The Purpose of Financial Reporting; The Flaws in the Reasoning; Small Profits and Big Baths; Maximizing Growth Expectations; Downplaying Contingencies; The Importance of Being Skeptical; Conclusion; PART TWO The Basic Financial Statements; CHAPTER 2 The Balance Sheet; The Value Problem; Comparability Problems in the Valuation of Financial Assets; Instantaneous Wipeout of Value; How Good Is Goodwill?
Losing Value the Old-Fashioned WayTrue Equity Is Elusive; Pros and Cons of a Market-Based Equity Figure; The Common Form Balance Sheet; Conclusion; CHAPTER 3 The Income Statement; Making the Numbers Talk; How Real Are the Numbers?; Conclusion; CHAPTER 4 The Statement of Cash Flows; The Cash Flow Statement and the Leveraged Buyout; Analytical Applications; Cash Flow and the Company Life Cycle; The Concept of Financial Flexibility; In Defense of Slack; Conclusion; PART THREE A Closer Look at Profits; CHAPTER 5 What Is Profit?; Bona Fide Profits versus Accounting Profits; What Is Revenue?
Which Costs Count?How Far Can the Concept Be Stretched?; Conclusion; CHAPTER 6 Revenue Recognition; Channel-Stuffing in the Drug Business; A Second Take on Earnings; Astray on Layaway; Recognizing Membership Fees; A Potpourri of Liberal Revenue Recognition Techniques; Fattening Earnings with Empty Calories; Tardy Disclosure at Halliburton; Managing Earnings with Rainy Day Reserves; Fudging the Numbers: A Systematic Problem; Conclusion; CHAPTER 7 Expense Recognition; Nortel's Deferred Profit Plan; Grasping for Earnings at General Motors; Time-Shifting at Freddie Mac; Conclusion
CHAPTER 8 The Applications and Limitations of EBITDAEBIT, EBITDA, and Total Enterprise Value; The Role of EBITDA in Credit Analysis; Abusing EBITDA; A More Comprehensive Cash Flow Measure; Working Capital Adds Punch to Cash Flow Analysis; Conclusion; CHAPTER 9 The Reliability of Disclosure and Audits; An Artful Deal; Death Duties; Systematic Problems in Auditing; Conclusion; CHAPTER 10 Mergers-and-Acquisitions Accounting; Maximizing Postacquisition Reported Earnings; Managing Acquisition Dates and Avoiding Restatements; Conclusion; CHAPTER 11 Is Fraud Detectable?
Telltale Signs of ManipulationFraudsters Know Few Limits; Enron: A Media Sensation; HealthSouth's Excruciating Ordeal; Milk and Other Liquid Assets; Conclusion; PART FOUR Forecasts and Security Analysis; CHAPTER 12 Forecasting Financial Statements; A Typical One-Year Projection; Sensitivity Analysis with Projected Financial Statements; Projecting Financial Flexibility; Pro Forma Financial Statements; Pro Forma Statements for Acquisitions; Multiyear Projections; Conclusion; CHAPTER 13 Credit Analysis; Balance Sheet Ratios; Income Statement Ratios; Statement of Cash Flows Ratios
Combination Ratios
Record Nr. UNINA-9910139618203321
Fridson Martin S  
Hoboken, : Wiley, 2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Financial Statement Analysis [[electronic resource] ] : A Practitioner's Guide
Financial Statement Analysis [[electronic resource] ] : A Practitioner's Guide
Autore Fridson Martin S
Edizione [4th ed.]
Pubbl/distr/stampa Hoboken, : Wiley, 2011
Descrizione fisica 1 online resource (400 p.)
Disciplina 657.3
657/.3
Altri autori (Persone) AlvarezFernando
Collana Wiley Finance
Soggetto topico BUSINESS & ECONOMICS / Finance
Financial statements
Ratio analysis
ISBN 1-119-20148-9
1-283-17595-9
9786613175953
1-118-06418-6
Classificazione BUS027000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto FinancialStatementAnalysis; Contents; Preface to Fourth Edition; Acknowledgments; PART ONE Reading between the Lines; CHAPTER 1 The Adversarial Nature of Financial Reporting; The Purpose of Financial Reporting; The Flaws in the Reasoning; Small Profits and Big Baths; Maximizing Growth Expectations; Downplaying Contingencies; The Importance of Being Skeptical; Conclusion; PART TWO The Basic Financial Statements; CHAPTER 2 The Balance Sheet; The Value Problem; Comparability Problems in the Valuation of Financial Assets; Instantaneous Wipeout of Value; How Good Is Goodwill?
Losing Value the Old-Fashioned WayTrue Equity Is Elusive; Pros and Cons of a Market-Based Equity Figure; The Common Form Balance Sheet; Conclusion; CHAPTER 3 The Income Statement; Making the Numbers Talk; How Real Are the Numbers?; Conclusion; CHAPTER 4 The Statement of Cash Flows; The Cash Flow Statement and the Leveraged Buyout; Analytical Applications; Cash Flow and the Company Life Cycle; The Concept of Financial Flexibility; In Defense of Slack; Conclusion; PART THREE A Closer Look at Profits; CHAPTER 5 What Is Profit?; Bona Fide Profits versus Accounting Profits; What Is Revenue?
Which Costs Count?How Far Can the Concept Be Stretched?; Conclusion; CHAPTER 6 Revenue Recognition; Channel-Stuffing in the Drug Business; A Second Take on Earnings; Astray on Layaway; Recognizing Membership Fees; A Potpourri of Liberal Revenue Recognition Techniques; Fattening Earnings with Empty Calories; Tardy Disclosure at Halliburton; Managing Earnings with Rainy Day Reserves; Fudging the Numbers: A Systematic Problem; Conclusion; CHAPTER 7 Expense Recognition; Nortel's Deferred Profit Plan; Grasping for Earnings at General Motors; Time-Shifting at Freddie Mac; Conclusion
CHAPTER 8 The Applications and Limitations of EBITDAEBIT, EBITDA, and Total Enterprise Value; The Role of EBITDA in Credit Analysis; Abusing EBITDA; A More Comprehensive Cash Flow Measure; Working Capital Adds Punch to Cash Flow Analysis; Conclusion; CHAPTER 9 The Reliability of Disclosure and Audits; An Artful Deal; Death Duties; Systematic Problems in Auditing; Conclusion; CHAPTER 10 Mergers-and-Acquisitions Accounting; Maximizing Postacquisition Reported Earnings; Managing Acquisition Dates and Avoiding Restatements; Conclusion; CHAPTER 11 Is Fraud Detectable?
Telltale Signs of ManipulationFraudsters Know Few Limits; Enron: A Media Sensation; HealthSouth's Excruciating Ordeal; Milk and Other Liquid Assets; Conclusion; PART FOUR Forecasts and Security Analysis; CHAPTER 12 Forecasting Financial Statements; A Typical One-Year Projection; Sensitivity Analysis with Projected Financial Statements; Projecting Financial Flexibility; Pro Forma Financial Statements; Pro Forma Statements for Acquisitions; Multiyear Projections; Conclusion; CHAPTER 13 Credit Analysis; Balance Sheet Ratios; Income Statement Ratios; Statement of Cash Flows Ratios
Combination Ratios
Record Nr. UNINA-9910828489303321
Fridson Martin S  
Hoboken, : Wiley, 2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Hedge fund modelling and analysis using MATLAB® [[electronic resource] /] / Paul Darbyshire, David Hampton
Hedge fund modelling and analysis using MATLAB® [[electronic resource] /] / Paul Darbyshire, David Hampton
Autore Darbyshire Paul
Pubbl/distr/stampa Chichester, West Sussex, United Kingdom : , : Wiley, , 2014
Descrizione fisica 1 online resource (206 p.)
Disciplina 332.64
332.64/5240285554
Collana Wiley finance series
Soggetto topico Hedge funds - Mathematical models
BUSINESS & ECONOMICS / Finance
Hedge funds -- Mathematical models
Hedge funds
MATLAB
Finance
Business & Economics
Investment & Speculation
ISBN 1-118-90502-4
1-119-96767-8
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Hedge Fund Modelling and Analysis Using MATLAB®; Contents; Preface; 1 The Hedge Fund Industry; 1.1 What are Hedge Funds?; 1.2 The Structure of a Hedge Fund; 1.2.1 Fund Administrators; 1.2.2 Prime Brokers; 1.2.3 Custodian, Auditors and Legal; 1.3 The Global Hedge Fund Industry; 1.3.1 North America; 1.3.2 Europe; 1.3.3 Asia; 1.4 Specialist Investment Techniques; 1.4.1 Short Selling; 1.4.2 Leverage; 1.4.3 Liquidity; 1.5 New Developments for Hedge Funds; 1.5.1 UCITS III Hedge Funds; 1.5.2 The European Passport; 1.5.3 Restrictions on Short Selling; 2 Hedge Fund Data Sources
2.1 Hedge Fund Databases2.2 Major Hedge Fund Indices; 2.2.1 Non-Investable and Investable Indices; 2.2.2 Dow Jones Credit Suisse Hedge Fund Indices (www.hedgeindex.com); 2.2.3 Hedge Fund Research (www.hedgefundresearch.com); 2.2.4 FTSE Hedge (www.ftse.com); 2.2.5 Greenwich Alternative Investments (www.greenwichai.com); 2.2.6 Morningstar Alternative Investment Center (http:www.morningstar.com/advisor/alternative-investments); 2.2.7 EDHEC Risk and Asset Management Research Centre (www.edhec-risk.com); 2.3 Database and Index Biases; 2.3.1 Survivorship Bias; 2.3.2 Instant History Bias
2.4 Benchmarking2.4.1 Tracking Error; 3 Statistical Analysis; 3.1 Basic Performance Plots; 3.1.1 Value Added Index; 3.1.2 Histograms; 3.2 Probability Distributions; 3.2.1 Populations and Samples; 3.3 Probability Density Function; 3.4 Cumulative Distribution Function; 3.5 The Normal Distribution; 3.5.1 Standard Normal Distribution; 3.6 Visual Tests for Normality; 3.6.1 Inspection; 3.6.2 Normal Probability Plot; 3.7 Moments of a Distribution; 3.7.1 Mean and Standard Deviation; 3.7.2 Skew; 3.7.3 Kurtosis; 3.8 Covariance and Correlation; 3.9 Linear Regression; 3.9.1 Coefficient of Determination
3.9.2 Residual Plots3.9.3 Jarque-Bera Test; 4 Mean-Variance Optimisation; 4.1 Portfolio Theory; 4.1.1 Mean-Variance Analysis; 4.1.2 An Optimisation Problem; 4.1.3 Sharpe Ratio Maximisation; 4.2 Efficient Portfolios; 5 Performance Measurement; 5.1 The Intuition Behind Risk-Adjusted Returns; 5.1.1 Risk-Adjusted Returns; 5.2 Absolute Risk-Adjusted Return Metrics; 5.2.1 The Sharpe Ratio; 5.2.2 The Modified Sharpe Ratio; 5.2.3 The Maximum Drawdown Ratio; 5.3 Market Model Risk-Adjusted Return Metrics; 5.3.1 The Information Ratio; 5.3.2 The Treynor Ratio; 5.3.3 Jensens Alpha; 5.3.4 GH1 Metric
5.3.5 The M2 Metric5.3.6 The GH2 Metric; 5.4 MAR and LPM Metrics; 5.4.1 The Sortino Ratio; 5.4.2 The Omega Ratio; 5.4.3 The Upside Potential Ratio and Group Rankings; 5.5 Multi-Factor Asset Pricing Extensions; 5.5.1 The Choice of Factors; 6 Hedge Fund Classification; 6.1 Financial Instrument Building Blocks and Style Groups; 6.2 Hedge Fund Clusters and Classification; 6.2.1 Metric Definitions; 6.2.2 Creating Dendrograms; 6.2.3 Interpreting Dendrograms; 7 Market Risk Management; 7.1 Value-at-Risk; 7.2 Traditional VaR Methods; 7.2.1 Historical Simulation; 7.2.2 Parametric Method
7.2.3 Monte-Carlo Simulation
Record Nr. UNINA-9910138955703321
Darbyshire Paul  
Chichester, West Sussex, United Kingdom : , : Wiley, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui