Corporate Finance And Portfolio Management

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N. Gopalsamy Illustrator: NA: Capital Market: The Indian Financial Scene, Macmillan Publishers India 2005 ISBN: 9781403926456

New Hardcover 15 x 23 cm. This book describes the various developments of capital market, both at the national and international levels. The book is divided into four parts. Part I deals with learning and working in a global environment; part II discusses banking and project finance, which is probably one of the few sectors where changes have been occasional; part III is about Security and Exchange Board of India (SEBI); part IV gives an overview of merchant banking, public issue management, portfolio management and corporate restructuring. Contents Part 1: Learning and Working in a Global Environment aEURc Introduction aEURc Global Economy and Globalisation aEURc Globalisation aEURc Introduction aEURc Foreign Collaborations aEURc Joint Ventures aEURc Foreign Exchange Management aEURc Global Finance: An Overview aEURc Appendices aEURc Part 2: Banking and Project Finance aEURc Introduction aEURc Project Managment: An Overview aEURc Project Financing: An Overview aEURc Indian Banking System: An Overview aEURc Non-Banking Financial Companies (NBFCs) aEUR" An Overview aEURc Lease Financing aEURc Venture Capital aEURc International Finance aEURc Appendices aEURc Part 3: Securities and Exchange Board of India aEURc Introduction aEURc Capital Market Overview aEURc SEBI and the Capital Market aEURc Stock Exchange aEURc BSE and Other Stock Exchange aEURc SEBI Regulations aEURc Capital Market Committees aEURc Capital Market Update aEURc Takeover Regulations aEURc Mutual Funds aEURc Depositories aEURc Credit Rating aEURc Investors aEURc Appendices aEURc Part 4: Merchant Banking aEURc Introduction aEURc Merchant Banking: An Overview aEURc Capital Issue: An Overview aEURc Management of Public Issues aEURc Portfolio and Investment Management aEURc Corporate Restructuring aEURc Appendices aEURc Appendices: Latest Additions aEURc Appendices aEURc Consolidated Appendices aEURc Part One: Policies and Programmes aEURc Part Two: Review of Trends and Operations aEURc Part Three: Regulation of Securities Market aEURc Part Four: Regulatory Changes aEURc Index Printed Pages: 760. First edition

[SW: Capital Market: The Indian Financial SceneN. Gopalsamy9781403926456]

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NULL Garcia: Art of Credit Derivatives Demystifying the Black Swan, Wiley, Februar 2010 ISBN: 0470747358
Credit derivatives have been instrumental in the recent increase in securitization activity. The complex nature and the size of the market have given rise to very complex counterparty credit risks. The Lehman failure has shown that these issues can paralyse the financial markets, and the need for detailed understanding has never been greater.The Art of Credit Derivatives shows practitioners how to put a framework in place which will support the securitization activity. By showing the models that support this activity and linking them with very practical examples, the authors show why a mind-shift within the quant community is needed - a move from simple modeling to a more hands on mindset where the modeler understands the trading implicitly.The book has been written in five parts, covering the modeling framework; single name corporate credit derivatives; multi name corporate credit derivatives; asset backed securities and dynamic credit portfolio management.Coverage includes:* groundbreaking solutions to the inherent risks associated with investing in securitization instruments* how to use the standardized credit indices as the most appropriate instruments in price discovery processes and why these indices are the essential tools for short term credit portfolio management* why the dynamics of systemic correlation and the standardised credit indices are linked with leverage, and consequently the implications for liquidity and solvability of financial institutions* how Levy processes and long term memory processes are related to the understanding of economic activity* why regulatory capital should be portfolio dependant and how to use stress tests and scenario analysis to model this* how to put structured products in a mark-to market-environment, increasing transparency for accounting and compliance.This book will be invaluable reading for Credit Analysts, Quantitative Analysts, Credit Portfolio Managers, Academics and anyone interested in these complex yet important markets.

NEW 1. Auflage. 2009. 250 S. 244 mm 244 mm x 173 mm x 25 mm; Wiley Finance Series

[SW: Business & Economics / Finance]

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Gregoriou, Greg N.: Mergers and Acquisitions: Current Issues (Finance and Capital Markets) Palgrave, ISBN: 0230553796
leichte Lagerspuren Kurzbeschreibung\nWithin the context of the explosive growth in the international mergers and acquisitions arena in recent years, this book investigates the effects of changes in corporate control under varying economic conditions. In countries all around the globe, mergers and acquisitions play a key role in increasing corporate value while corporate restructuring serves to reallocate assets to their highest valued uses. This volume examines the role played by both target firms and acquiring firms in these transactions, the effects of mergers and acquisitions on value, and the effects of the legal environment and market regulation on mergers and acquisitions in a global setting. In addition, case studies of specific mergers in different countries are examined to provide an in-depth view of these transactions. Greg N. Gregoriou is a professor of finance in the School of Business and Economics at the State University of New York (Plattsburgh). He obtained his joint Ph.D. in finance from the University of Quebec at Montreal which pools the resources of Montreal's three major universities (McGill University, Concordia University and Hautes-Etudes Commerciales). He is an editorial board member of Derivatives Use, Trading and Regulation, the Journal of Wealth Management and the Journal of Risk Management in Financial Institutions. He has written over 50 articles on hedge funds and managed futures in various peer-reviewed publications, including the Journal of Portfolio Management, the European Journal of Operational Research, Annals of Operations Research, and the Journal of Futures Markets. He has co-authored one book with Professor Joe Zhu and edited 19 books with Elsevier-Butterworth-Heinemann, John Wiley & Sons, Palgrave MacMillan and Risk books. Karyn L. Neuhauser is an assistant professor of finance in the School of Business and Economics at the State University of New York (Plattsburgh). She earned her doctorate in finance from Louisiana State University and has published articles in the Journal of Real Estate Finance and Economics and the Journal of Financial Research. She recently edited a special issue of the International Journal of Managerial Finance. She is actively involved in the Financial Management Association, the Eastern Finance Association, and the South-western Finance Association and has served as an ad hoc reviewer for the Quarterly Review of Economics and Finance and the Institute for Global Management Research at George Washington University. Her research focuses on mergers and acquisitions, corporate control and governance, securities issuance, and dividend policy. Her work has been presented at numerous national and regional conferences. \n\nSynopsis\nWith the recent international growth of mergers and acquisitions, this book presents what drives corporate performance amid the controversy under different economic conditions, both in the US and across the globe. Mergers and Acquisitions can play a key task in maintaining the efficiency of world markets due to economies of scale with corporate restructuring playing a very important role in the corporate financial setting. The contributors further examine the role that target firms and acquiring firms assume, whether value and synergy is created, and the legal environment and the regulation effect of financial markets on mergers and acquisitions on a global basis. Cases from around the world, including Canada, Australia and China, are also presented and discussed. , ISBN-13: 9780230553798

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Shailendra Kadre: Going Corporate: A Geek's Guide, COMPUTER BOOKSHOPS, Juni 2011 ISBN: 1430237015
Going Corporate: A Geek's Guide shows technology workers how to gain the understanding and skills necessary for becoming an effective, promotable manager or sought-after consultant or freelancer. Technology professionals typically dive deeply into small pieces of technology - like lines of code or the design of a circuit. As a result, they may have trouble seeing the bigger picture and how their work supports an organization's goals. But ignoring or dismissing the business or operational aspects of projects and products can lead to career stagnation. In fact, understanding the larger business environment is essential for those who want a management job, a consulting gig, or to one day start a business. It's also essential for those who have been promoted and find themselves flailing for lack of a business education. Going Corporate: A Geek's Guide to the rescue! This book is designed to help readers gain management skills, insight, and practical understanding of essential business and operational topics.Readers will learn to develop project and program management skills, deliver service efficiently and improve processes, implement governance, analyze financial statements, and much more. After reading this book, technology professionals will understand such things as enterprise architecture, IT operations management, strategic and financial management - and how each relates to the others. Detailed case studies help cement an understanding of how an IT organization and its workers succeed in the 21st century.This book: * Illustrates how pieces of the business puzzle fit together to form a robust enterprise * Prepares readers to get promoted into management * Explains the key management skills and knowledge required for a successful IT career What you'll learn * The skills and knowledge it takes to be an effective project, program, or mid-level manager, in-demand consultant - or even a C-level executive * How your current job fits into the bigger picture * What your organization must do to create customers and make a profit * How good governance turns strategy into effective action * How understanding finances - corporate or departmental - can help unlock business potential * The tools necessary for making sound operational decisions Who this book is for * Workers in the technology trenches wondering how to improve career potential * Technology professionals aiming for management positions * Fresh graduates starting a career in the corporate world * Recently promoted managers with little or no business education * Students in technical or business programs This book will also be useful for practicing engineers and managers as a refresher course on operational challenges encountered in the day-to-day life of technology executives.Table of Contents * Understanding Enterprise IT * Project Management: A Different Perspective * Delivery and Program Management * Service Delivery Management * Portfolio Management * Presales, Bid Management, and Sales and Marketing * Infrastructure Elements * The Cloud: Fundamentals, Strategy, and Economics * The Fascinating World of Finance * IT and Business Processes * IT and Business Analytics * IT and Operations Management * Corporate Governance in IT Companies * IT in Modern Vehicle Development Programs * Streamlining IT Using Service-Oriented Architecture * Strategic Thinking and the Evolution of Information Systems * What Managers Are Discussing * What CIOs Are Discussing * References and Suggested Readings

NEW 231X29X154

[SW: Business / Economics / Finance, Business & Economics / Management, Business & Economics / Information Management, Computers / Information Technology]

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