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Showing results for "william gehin"

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2015

EN

This book introduces ALM in the context of banks and insurance companies. Although this strategy has a core of fundamental frameworks, models may vary between banks and insurance companies because of the different risks and goals involved. The authors compare and contrast these methodologies to draw parallels between the commonalities and divergences of these two services and thereby provide a deeper understanding of ALM in general.

Price$188.99 CAD

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2001

EN

Accessible

John Bollinger is a giant in today’s trading community. His Bollinger Bands sharpen the sensitivity of fixed indicators, allowing them to more precisely reflect a market’s volatility. By more accurately indicating the existing market environment, they are seen by many as today’s standard—and most reliable—tool for plotting expected price action.Now, in Bollinger on Bollinger Bands, Bollinger himself explains how to use this extraordinary technique to compare price and indi...

Price$56.19 CAD

2006

EN

Since its original publication, Value at Risk has become the industry standard in risk management. Now in its Third Edition, this international bestseller addresses the fundamental changes in the field that have occurred across the globe in recent years. Philippe Jorion provides the most current information needed to understand and implement VAR-as well as manage newer dimensions of financial risk. Featured updates include:An increased emphasis on operational riskUsing VAR ...

Price$83.79 CAD

How to Invest in Structured Products

A Guide for Investors and Asset Managers


2009

EN

This book is essential in understanding, investing and risk managing the holy grail of investments - structured products. The book begins by introducing structured products by way of a basic guide so that readers will be able to understand a payoff graphic, read a termsheet or assess a payoff formula, before moving on to the key asset classes and their peculiarities. Readers will then move on to the more advanced subjects such as structured products construction and behaviour during their ...

Price$96.99 CAD

2006

EN

Praise for Quantitative Equity Portfolio Management“A must-have reference for any equity portfolio manager or MBA student, this book is a comprehensive guide to all aspects of equity portfolio management, from factor models to tax management.” ERIC ROSENFELD, Principal & Co-founder of JWM Partners“This is an ambitious book that both develops the broad range of artillery employed in quantitative equity investment management and provides...

Price$75.89 CAD

2011

EN

Practical Business Statistics, Sixth Edition, is a conceptual, realistic, andmatter-of-fact approach to managerial statistics that carefully maintains–butdoes not overemphasize–mathematical correctness. The book offers a deepunderstanding of how to learn from data and how to deal with uncertainty whilepromoting the use of practical computer applications. This teaches present andfuture managers how to use and understand statistics without an overdose oftechnical detail, enabling them to bet...

Price$9.89 CAD

Volatility Edge in Options Trading, The

New Technical Strategies for Investing in Unstable Markets, The

2008

EN

“Jeff’s analysis is unique, at least among academic derivatives textbooks. I would definitely use this material in my derivatives class, as I believe students would benefit from analyzing the many dimensions of Jeff’s trading strategies. I especially found the material on trading the earnings cycle and discussion of how to insure against price jumps at known events very worthwhile.”—DR. R****OBERT JENNINGS

Price$59.99 CAD

2012

EN

Co-authored by two respected authorities on hedge funds and asset management, this implementation-oriented guide shows you how to employ a range of the most commonly used analysis tools and techniques both in industry and academia, for understanding, identifying and managing risk as well as for quantifying return factors across several key investment strategies. The book is also suitable for use as a core textbook for specialised graduate level courses in hedge funds and alternative invest...

Price$113.99 CAD

2009

EN

In order to make sound investment choices, investors must know the projected return on investment in relation to the risk of not being paid. Benchmarks are excellent evaluators, but the failure to choose the right investing performance benchmark often leads to bad decisions or inaction, which inevitably results in lost profits.The first book of its kind, Portfolio Performance Measurement and Benchmarking is a complete guide to benchmarks and performace evaluation using ben...

Price$124.89 CAD

Unified Financial Analysis

The Missing Links of Finance

2011

EN

Unified Financial Analysis arrives at the right time, in the midst of the current financial crisis where the call for better and more efficient financial control cannot be overstated. The book argues that from a technical perspective, there is no need for more, but for better and more efficiently organized information.The title demonstrates that it is possible with a single but well organized set of information and algorithms to derive all types of financial analy...

Price$71.99 CAD

Asset–Liability Management for Financial Institutions

Balancing Financial Stability with Strategic Objectives

2012

EN

Effective asset-liability management (ALM) of a financial institution requires making informed strategic and operational decisions. Ever more important in the wake of the corporate bailouts and collapses of the financial crisis, ALM encompasses the formulation, implementation, monitoring, and revision of strategies, often on a daily basis due to the fast-moving nature of the related risks and constraints.This approachable book features up-to-date practitioner and academic perspecti...

Price$36.99 CAD

2013

EN

A must-have book about investments !UCITS funds today represent a major share of European funds. The European directives started with UCITS I in the mids 1980s, and have been amended up to UCITS IV in 2009, to be followed soon by a UCITS V package. In its first part, this book is summarizing the evolution and features of these successive sets of European regulations. Among others, it covers the UCITS eligible assets, the key parties involved in UCITS funds operatio...

Price$69.99 CAD