Showing results for "tim weithers"
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Foreign Exchange
A Practical Guide to the FX Markets
- Book 309 -
- Wiley Finance
2011
EN
Praise for Foreign Exchange"Tim Weithers starts by telling the reader that foreign exchange is not difficult, just confusing, but Foreign Exchange: A Practical Guide to the FX Markets proves that money is much more exciting than anything it buys. This useful book is a whirlwind tour of the world's largest market, and the tour guide is an expert storyteller, inserting numerous fascinating insights and quirky facts throughout the book."-John R. Taylor, Chairman, CEO and CIO, F...
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Canada's Public Pension System Made Simple
The Secrets to Maximizing Your Retirement Income from Government Pensions
- by
- Lee Tang
2015
EN
Get the Most out of Your Canadian Government Pension!Are you getting everything you can from the government?The public pension system is complex and often changes, which means many people are not claiming money that they’re entitled to.Do you know all of your options for maximizing your pension?Many people missed out on government pensions because they failed to take action to maximize their benefits.
Bonds for Canadians
How to Build Wealth and Lower Risk in Your Portfolio
2009
EN
PRAISE FOR BONDS FOR CANADIANS"Andrew Allentuck is one of the premiere financial journalist covering fixed income markets from a uniquely Canadian perspective. His knowledge of the bond market is second to none."--Randy LeClair, CFA, Vice-President & Portfolio Manager, AIC Investment Services Inc."Andrew Allentuck's new book explains the complexities of the bond market to Canadians in an engrossing and deliciously entertaining manner. Superbly written, Bonds for Cana...
International Finance
Theory into Practice
2009
EN
International Finance presents the corporate uses of international financial markets to upper undergraduate and graduate students of business finance and financial economics. Combining practical knowledge, up-to-date theories, and real-world applications, this textbook explores issues of valuation, funding, and risk management. International Finance shows how theoretical applications can be brought into managerial practice.The text includes an extensive introducti...
2011
EN
The deflation of the subprime mortgage bubble in 2006-7 is widely agreed to have been the immediate cause of the collapse of the financial sector in 2008. Consequently, one might think that uncovering the origins of subprime lending would make the root causes of the crisis obvious. That is essentially where public debate about the causes of the crisis began—and ended—in the month following the bankruptcy of Lehman Brothers and the 502-point fall in the Dow Jones Industrial Average in mid-S...
The End of the Risk-Free Rate: Investing When Structural Forces Change Government Debt
Investing When Structural Forces Change Government Debt
2013
EN
A NEW FINANCIAL STRATEGY FOR A NEW FINANCIAL WORLDAs an investor, you've probably taken advantage of the risk-free rates in the postcrash economy by putting your money into bonds, stocks, commodities, and currencies. With the rise of government debt across the globe, you can no longer rely on the notion of "safe" to perform as expected. You need to adapt your investing strategy to a new financial reality.Filled with expert tips, this step-by-step guide walks you through a...
The Future of Finance
A New Model for Banking and Investment
- Book 576 -
- Wiley Finance
2010
EN
New banking and investment business models to navigate the post-financial crisis environmentThe financial crisis of 2007-2008 has discredited business models in the banking and fund management industries. In The Future of Finance, Moorad Choudhry and Gino Landuyt argue that banks must realign their business models, implying a lower return-on-equity; diversifying their funding sources; and increasing liquidity reserves. On the investment side, the authors d...
2004
EN
The Global Financial Stability Report (GSFR), published twice a year by the IMF, provides timely analysis of developments in mature and emerging market countries and seeks to identify potential fault lines in the global financial system that could lead to crisis. The GFSR aims to deepen its readers’ understanding of global capital flows, which play a critical role as an engine of world economic growth. Along with the IMF’s semiannual World Economic Outlook, the GFSR is a key vehicle for the I...
When Insurers Go Bust
An Economic Analysis of the Role and Design of Prudential Regulation
2009
EN
In the 1990s, large insurance companies failed in virtually every major market, prompting a fierce and ongoing debate about how to better protect policyholders. Drawing lessons from the failures of four insurance companies, When Insurers Go Bust dramatically advances this debate by arguing that the current approach to insurance regulation should be replaced with mechanisms that replicate the governance of non-financial firms.Rather than immediately addressing the minutiae ...
2009
EN
The Meltdown Years offers the most lucid and useful explanation to date about why home values, life savings, job security, and investments around the world are in peril.Rather than focus on who is to blame, though, author Wolfgang Münchau takes the more practical approach of focusing on what is to blame. The fact that individuals were stupid, greedy, and corrupt should come as no surprise. What’s remarkable is that our world’s financial systems—put in pla...
2012
EN
This note outlines the basic economics of the shadow banking system, highlights (systemic) risks related to it, and suggests implications for measurement and regulatory approaches.











