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Informació d'una col·lecció
Col·lecció Wiley finance series
- Editorial : John Wiley & Sons (Asia)
- ISSN : sense ISSN
Documents disponibles a la col·lecció
Refinar la cercaThe Money markets handbook / Moorad Choudhry (2005)
Títol : The Money markets handbook : a practitioner's guide Tipus de document : text imprès Autors : Moorad Choudhry, Autor Editorial : Singapore : John Wiley & Sons (Asia) Data de publicació : 2005 Col·lecció : Wiley finance series Nombre de pàgines : 441 p. Dimensions : 24 cm ISBN/ISSN/DL : 978-0-470-82150-3 Nota general : Inclou índex Idioma : Anglès (eng) Matèries : Mercat monetari Classificació : 52 Mercats monetaris Resum : In The Money Markets Handbook Moorad Choudhry provides, in one comprehensive volume, the description, trading, analysis and calculations of the major markets around the world, providing worked examples and exercises throughout to provide a landmark publication on this important topic. Unique features, including a list of conventions and trading rules in virtually every market in the world, means that this book is relevant to virtually every money market in the world. Vista prèvia a Google Books : http://books.google.es/books?id=OqHDJ92U134C&lpg=PP1&hl=es&pg=PP1#v=onepage&q&f=false Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=1 The Money markets handbook : a practitioner's guide [text imprès] / Moorad Choudhry, Autor . - Singapore : John Wiley & Sons (Asia), 2005 . - 441 p. ; 24 cm. - (Wiley finance series) .
ISBN : 978-0-470-82150-3
Inclou índex
Idioma : Anglès (eng)
Matèries : Mercat monetari Classificació : 52 Mercats monetaris Resum : In The Money Markets Handbook Moorad Choudhry provides, in one comprehensive volume, the description, trading, analysis and calculations of the major markets around the world, providing worked examples and exercises throughout to provide a landmark publication on this important topic. Unique features, including a list of conventions and trading rules in virtually every market in the world, means that this book is relevant to virtually every money market in the world. Vista prèvia a Google Books : http://books.google.es/books?id=OqHDJ92U134C&lpg=PP1&hl=es&pg=PP1#v=onepage&q&f=false Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=1 Exemplars
Codi de barres Signatura topogràfica Tipus de document Localització Secció Estat Volum Nota 10111495 52 Cho Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible Measuring and managing operational risks in financial institutions / Christopher Lee Marshall (cop. 2001)
Títol : Measuring and managing operational risks in financial institutions : tools, techniques, and other resources Tipus de document : text imprès Autors : Christopher Lee Marshall, Autor Editorial : Singapore : John Wiley & Sons (Asia) Data de publicació : cop. 2001 Col·lecció : Wiley finance series Nombre de pàgines : xiv, 594 p. ll. : il. Dimensions : 24 cm ISBN/ISSN/DL : 978-0-471-84595-9 Nota general : Inclou índex i bibliografia Idioma : Anglès (eng) Matèries : Entitats financeres -- Administració
Gestió del risc
Serveis financers -- AdministracióClassificació : 601.9 Risc Resum : comprehensive and innovative look at how to protect financial institutions from operational risks
Operational risk is the risk associated with human error, systems failures, and inadequate controls and procedures in information systems or internal controls that will result in an unexpected loss. According to a recent survey, about seventy percent of banks consider operational risk as important as market or credit risks. Nearly a quarter of the same banks admit to operation-related losses of more than $1.6 million-many cases are so embarrassing that banks will not actually admit any error on their part. Firms are just beginning to develop their own operational risk management systems and they need guidance on how to do it. This book will help them identify, measure, and manage their operational risks.Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=1 Measuring and managing operational risks in financial institutions : tools, techniques, and other resources [text imprès] / Christopher Lee Marshall, Autor . - Singapore : John Wiley & Sons (Asia), cop. 2001 . - xiv, 594 p. : il. ; 24 cm. - (Wiley finance series) .
ISBN : 978-0-471-84595-9
Inclou índex i bibliografia
Idioma : Anglès (eng)
Matèries : Entitats financeres -- Administració
Gestió del risc
Serveis financers -- AdministracióClassificació : 601.9 Risc Resum : comprehensive and innovative look at how to protect financial institutions from operational risks
Operational risk is the risk associated with human error, systems failures, and inadequate controls and procedures in information systems or internal controls that will result in an unexpected loss. According to a recent survey, about seventy percent of banks consider operational risk as important as market or credit risks. Nearly a quarter of the same banks admit to operation-related losses of more than $1.6 million-many cases are so embarrassing that banks will not actually admit any error on their part. Firms are just beginning to develop their own operational risk management systems and they need guidance on how to do it. This book will help them identify, measure, and manage their operational risks.Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=1 Exemplars
Codi de barres Signatura topogràfica Tipus de document Localització Secció Estat Volum Nota 10112629 601.9 Mar Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
DisponibleDonació: Ramon Alfonso An Introduction to Islamic finance / Zamir Iqbal (2007)
Títol : An Introduction to Islamic finance : theory and practice Tipus de document : text imprès Autors : Zamir Iqbal, Autor ; Abbas Mirakhor, Autor Menció d'edició : 2nd ed. Editorial : Singapore : John Wiley & Sons (Asia) Data de publicació : 2007 Col·lecció : Wiley finance series Nombre de pàgines : xiv, 406 p. ll. : il., gràf. Dimensions : 24 cm ISBN/ISSN/DL : 978-0-470-82808-3 Nota general : Inclou índex i bibliografia Idioma : Anglès (eng) Matèries : Finances -- Aspectes religiosos
Finances -- Països musulmans
Finances internacionalsClassificació : 9 Finances internacionals Resum : The first book to offer comprehensive coverage of Islamic finance and banking and its applications to the rest of the world, now fully revised and updated
The ongoing international financial crisis has reignited debate over the development of a risk-sharing financial system, such as that required in Shariah Law. An Introduction to Islamic Finance: Theory and Practice, Second Edition highlights the core principles of risk sharing in Islam, arguing that a risk-sharing financial system is exactly what we need to promote greater financial stability.
Providing comprehensive coverage of the fundamental theory behind Islamic finance and banking, according to the core concepts of Shariah law, authors Zamir Iqbal and Abbas Mirakhor clearly explain the distinct features of an Islamic financial system and how it compares with traditional financial models. Addressing the myriad important developments that have taken place in recent years, this second edition looks to the future, addressing emerging issues sure to influence future developments in Islamic finance.Vista prèvia a Google Books : http://books.google.es/books?id=SbVUt5X0R5MC&lpg=PP1&hl=es&pg=PP1#v=onepage&q&f=false Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=2 An Introduction to Islamic finance : theory and practice [text imprès] / Zamir Iqbal, Autor ; Abbas Mirakhor, Autor . - 2nd ed. . - Singapore : John Wiley & Sons (Asia), 2007 . - xiv, 406 p. : il., gràf. ; 24 cm. - (Wiley finance series) .
ISBN : 978-0-470-82808-3
Inclou índex i bibliografia
Idioma : Anglès (eng)
Matèries : Finances -- Aspectes religiosos
Finances -- Països musulmans
Finances internacionalsClassificació : 9 Finances internacionals Resum : The first book to offer comprehensive coverage of Islamic finance and banking and its applications to the rest of the world, now fully revised and updated
The ongoing international financial crisis has reignited debate over the development of a risk-sharing financial system, such as that required in Shariah Law. An Introduction to Islamic Finance: Theory and Practice, Second Edition highlights the core principles of risk sharing in Islam, arguing that a risk-sharing financial system is exactly what we need to promote greater financial stability.
Providing comprehensive coverage of the fundamental theory behind Islamic finance and banking, according to the core concepts of Shariah law, authors Zamir Iqbal and Abbas Mirakhor clearly explain the distinct features of an Islamic financial system and how it compares with traditional financial models. Addressing the myriad important developments that have taken place in recent years, this second edition looks to the future, addressing emerging issues sure to influence future developments in Islamic finance.Vista prèvia a Google Books : http://books.google.es/books?id=SbVUt5X0R5MC&lpg=PP1&hl=es&pg=PP1#v=onepage&q&f=false Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=2 Exemplars
Codi de barres Signatura topogràfica Tipus de document Localització Secció Estat Volum Nota 10113072 9 Iqb Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible
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