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Author | : |
Publisher | : Euromoney Institutional Investor Plc |
Total Pages | : 288 |
Release | : 1998 |
Genre | : Financial institutions |
ISBN | : |
This title is designed to be accessible to both technical and non-technical readers. The Practice of Risk Management is unique in its presentation of information and techniques indispensible to any form aspiring to efficient risk management.
Author | : Tony Rhodes |
Publisher | : |
Total Pages | : 231 |
Release | : 2012 |
Genre | : Commercial paper issues |
ISBN | : 9781843748878 |
This definitive guide to debt finance has been fully updated to provide a detailed examination of debt products and extensive examples of the markets in practice - enabling you to apply your knowledge. The new edition includes new chapters on DFI syndications.
Author | : Aly Khorshid |
Publisher | : |
Total Pages | : 436 |
Release | : 2009 |
Genre | : Finance |
ISBN | : |
Edited by Aly Khorshid with 18 specialist contributors, this book is THE definitive guide to Islamic Finance. It brings you the up to date information surrounding sukuk, shariah and more.
Author | : Pierre-Hugues Verdier |
Publisher | : Oxford University Press |
Total Pages | : 281 |
Release | : 2020-02-14 |
Genre | : Law |
ISBN | : 0190675799 |
In the years since the 2008 financial crisis, U.S. federal prosecutors have brought dozens of criminal cases against the world's most powerful banks, charging them with manipulating financial indices, helping their customers evade taxes, evading sanctions, and laundering money. To settle these cases, global banks like UBS, Barclays, HSBC and BNP Paribas paid tens of billions of dollars in fines. They also agreed to extensive reforms, hiring hundreds of compliance officers, spending billions on new systems, and installing independent monitors. In effect, they agreed to become worldwide enforcers of U.S. law, including financial sanctions-sometimes despite their own governments' protests. This book examines the U.S. enforcement campaign against global banks across four areas: benchmark manipulation, tax evasion, sanctions violations, and sovereign debt. It shows that U.S. prosecutors have unilaterally carved out a new role as global bank regulators, heralding a fundamental shift in how international finance is overseen. Their ability to do so stems from U.S. control over access to vital hubs of the international financial system. In some areas, unilateral U.S. actions have ushered in important multilateral reforms, such as the rise of automatic tax information exchange and better-regulated financial indices. In other areas, such as financial sanctions, unilateralism has attracted protests from other states and spurred attempts to challenge U.S. dominance of international finance.
Author | : Constantin Zopounidis |
Publisher | : Springer Science & Business Media |
Total Pages | : 520 |
Release | : 2013-04-17 |
Genre | : Business & Economics |
ISBN | : 147572845X |
This book provides a new point of view on the subject of the management of uncertainty. It covers a wide variety of both theoretical and practical issues involving the analysis and management of uncertainty in the fields of finance, management and marketing. Audience: Researchers and professionals from operations research, management science and economics.
Author | : Stephenson Harwood |
Publisher | : |
Total Pages | : 0 |
Release | : 2018-07-31 |
Genre | : Business & Economics |
ISBN | : 9781787421400 |
Now in its fourth edition, and containing over 500 pages of fully revised and updated material, Shipping Finance includes an analysis of ship mortgage terms and conditions, and mortgagee rights across the main maritime jurisdictions.In addition, Shipping Finance provides an extensive discussion of the procedure and documentation for registering ships on a country-by-country basis, with detailed advice from local experts. Chapters include: shipping finance from a banker's perspective; the financing of secondhand ships; the financing of new buildings; assignments of insurances and earnings, guarantees, indemnities, charges, debentures and other security relied upon by financiers; the sale and purchase of secondhand ships; the role of insurance in shipping; Islamic finance; Chinese leasing; and restructuring.Shipping Finance is an essential reference tool for anyone involved in shipping finance including bankers, lawyers and shipowners.
Author | : |
Publisher | : |
Total Pages | : 220 |
Release | : 1984 |
Genre | : Banks and banking |
ISBN | : |
Author | : Risto Laulajainen |
Publisher | : Routledge |
Total Pages | : 532 |
Release | : 2003-08-28 |
Genre | : Business & Economics |
ISBN | : 1134469179 |
This truly internationally-focused book is a readable, comprehensive guide to the economic geography of the world's financial centres that is as enjoyable to read as it is informative. All students and academics involved with economic geography as well as professionals in the banking and finance industries will find Financial Geography to be an ind
Author | : Henry A. Davis |
Publisher | : Euromoney Books |
Total Pages | : 668 |
Release | : 2008 |
Genre | : Business & Economics |
ISBN | : 9781843742821 |
"Gives a broad view of trends and techniques in infrastructure financing around the world today. The title considers a wide range of projets including transport, water systems, power and toll road privatisation. Themes include the rising need for infrastructure investment, the quality of country infrastructure, government budget limitations and benefits and risks of investment." - publisher's website.
Author | : Norbert Gaillard |
Publisher | : Springer Nature |
Total Pages | : 266 |
Release | : 2020-07-06 |
Genre | : Business & Economics |
ISBN | : 3030457885 |
Country risk has been a key notion for economists, financiers, and investors. Norbert Gaillard defines this notion as “any macroeconomic, microeconomic, financial, social, political, institutional, judiciary, climatic, technological, or sanitary risk that affects (or could affect) an investor in a foreign country. Damages may materialize in several ways: financial losses; threat to the safety of the investing company’s employees, clients, or consumers; reputational damage; or loss of a market or supply source.” Chapter 1 introduces the key concepts. Chapter 2 investigates how country risk has evolved and manifested since the advent of the Pax Britannica in 1816. It describes the international political and economic environment and identifies the main obstacles to foreign investment. Chapter 3 documents the numerous forms that country risk may take and provides illustrations of them. Seven broad components of country risk are scrutinized in turn: international political risks; domestic political and institutional risks; jurisdiction risks; macroeconomic risks; microeconomic risks; sanitary, health, industrial, and environmental risks; and natural and climate risks. Chapter 4 focuses on sovereign risk. It presents the rating methodologies used by four raters; next, it measures and compares their performance (i.e., their ability to forecast sovereign defaults). Chapter 5 studies the risks likely to affect exporters, importers, foreign creditors of corporate entities, foreign shareholders, and foreign direct investors. It presents the rating methodologies used by seven raters and measures their track records in terms of anticipating eight types of shocks that reflect the main components of country risk analyzed in Chapter 3. This book will be most relevant to graduate students in economics as well as professional economists and international investors.