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Refinar la cercaAn introduction to equity markets (1999)Traduït sota el títol
Traduït sota el títol Curso de bolsa / Reuters (cop. 2002)
Títol : An introduction to equity markets Tipus de document : text imprès Autors : Reuters, Autor Editorial : Singapore : John Wiley & Sons (Asia) Data de publicació : 1999 Col·lecció : The Reuters financial training series Nombre de pàgines : 272 p. ll. : il. Dimensions : 24 x 27 cm ISBN/ISSN/DL : 978-0-471-83171-6 Idioma : Anglès (eng) Matèries : Borsa de valors
ValorsClassificació : 51 Borses de valors Resum : The Reuters Financial Training Series An Introduction to Equity Markets An Introduction to Equity Markets guides novices through the intriguing world of equities. This book explains clearly how equity markets work, what the instruments traded are, who trades them, how equities are valued and how the international markets differ. Subjects addressed in this book include equity valuation, share issues, equity-linked securities and derivatives. Additional support is given in the form of charts and screens from Reuters' trading software. Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=1
Traduït sota el títol Curso de bolsa / Reuters (cop. 2002)
An introduction to equity markets [text imprès] / Reuters, Autor . - Singapore : John Wiley & Sons (Asia), 1999 . - 272 p. : il. ; 24 x 27 cm. - (The Reuters financial training series) .
ISBN : 978-0-471-83171-6
Idioma : Anglès (eng)
Matèries : Borsa de valors
ValorsClassificació : 51 Borses de valors Resum : The Reuters Financial Training Series An Introduction to Equity Markets An Introduction to Equity Markets guides novices through the intriguing world of equities. This book explains clearly how equity markets work, what the instruments traded are, who trades them, how equities are valued and how the international markets differ. Subjects addressed in this book include equity valuation, share issues, equity-linked securities and derivatives. Additional support is given in the form of charts and screens from Reuters' trading software. 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 10110824 51 Reu Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible An Introduction to bond markets / Reuters (1999)Traduït sota el títol
Títol : An Introduction to bond markets Tipus de document : text imprès Autors : Reuters, Autor Editorial : Singapore : John Wiley & Sons (Asia) Data de publicació : 1999 Col·lecció : The Reuters financial training series Nombre de pàgines : 350 p. ll. : il. Dimensions : 25 x 27 cm ISBN/ISSN/DL : 978-0-471-83174-7 Idioma : Anglès (eng) Matèries : Bons
Valors de renda fixaClassificació : 57 Renda fixa Resum : An Introduction to Bond Markets introduces novices to bonds, notes, derivatives and other instruments used in the world's largest markets. Readers will learn how these products are traded and quoted in the financial markets. This comprehensive guide bridges the gap between academic texts that are often too theoretical, and the more technical practitioner's works. Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=1 An Introduction to bond markets [text imprès] / Reuters, Autor . - Singapore : John Wiley & Sons (Asia), 1999 . - 350 p. : il. ; 25 x 27 cm. - (The Reuters financial training series) .
ISBN : 978-0-471-83174-7
Idioma : Anglès (eng)
Matèries : Bons
Valors de renda fixaClassificació : 57 Renda fixa Resum : An Introduction to Bond Markets introduces novices to bonds, notes, derivatives and other instruments used in the world's largest markets. Readers will learn how these products are traded and quoted in the financial markets. This comprehensive guide bridges the gap between academic texts that are often too theoretical, and the more technical practitioner's works. 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 10110825 57 Reu Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible The 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 Banks at risk / Peter Hoflich (2011)
Títol : Banks at risk : global best practices in an age of turbulence Tipus de document : text imprès Autors : Peter Hoflich, Autor Editorial : Singapore : John Wiley & Sons (Asia) Data de publicació : 2011 Nombre de pàgines : 236 p. Dimensions : 24 cm ISBN/ISSN/DL : 978-0-470-82719-2 Nota general : Inclou índex i bibliografia Idioma : Anglès (eng) Matèries : Bancs -- Avaluació del risc
Gestió del riscClassificació : 601.9 Risc Resum : In the wake of the financial crisis of 2008 the practices of the entire global financial services industry have been called into question. From the government, to the media, to the general public, everyone is re-thinking the way forward for the financial sector, but the stakes are high. Should negative trends in the industry continue and financial innovations allow fallout from the next crisis to grow exponentially, the endgame could be the sort of mutually assured destruction that topples entire economies. Charting the way forward for financial services reform requires a fundamental reappraisal of how things are done in order to avert disaster in the near future, and Banks at Risk: Global Best Practices in an Age of Turbulence explores what the future holds, by talking to experts in the know.
Compiling the insights of ten key figures in the financial services industry—regulators, commercial bankers, risk managers, and infrastructure specialists—who look at both strategic and operational issues in their assessments of how to clean up the industry and move towards a system of properly-managed risk, the book explores exactly what we need to do to prevent another crisis.
Sharing their thoughts for the first time are Liu Mingkang, the Chairman of the China Banking Regulatory Commission; Eric Rosengren, President of the Federal Reserve Bank of Boston; Joel Werkama, Assistant Vice President of the Federal Reserve Bank of Boston; Jane Diplock, former chairperson of the International Organization of Securities Commissions and the former head of New Zealand’s securities commission; Jose Maria Roldan, head of the banking supervision at the Bank of Spain; Jesus Saurina, Director of the Financial Stability Department at the Bank of Spain; Dick Kovacevich, former chairman and CEO of Wells Fargo Bank; Mike Smith, CEO of ANZ Group and former head of HSBC’s Asia Pacific operations; Shan Weijian, Chairman and CEO of Pacific Alliance Group and former senior partner of TPG Capital; Rob Close, former CEO of CLS Group; Tham Ming Soong, Chief Risk Officer at the United Overseas Bank in Singapore; and Tsuyoshi Oyama, former head of the risk assessment division in the international affairs division of the Bank of Japan.Vista prèvia a Google Books : http://books.google.es/books?id=08e17V6hGnoC&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 Banks at risk : global best practices in an age of turbulence [text imprès] / Peter Hoflich, Autor . - Singapore : John Wiley & Sons (Asia), 2011 . - 236 p. ; 24 cm.
ISBN : 978-0-470-82719-2
Inclou índex i bibliografia
Idioma : Anglès (eng)
Matèries : Bancs -- Avaluació del risc
Gestió del riscClassificació : 601.9 Risc Resum : In the wake of the financial crisis of 2008 the practices of the entire global financial services industry have been called into question. From the government, to the media, to the general public, everyone is re-thinking the way forward for the financial sector, but the stakes are high. Should negative trends in the industry continue and financial innovations allow fallout from the next crisis to grow exponentially, the endgame could be the sort of mutually assured destruction that topples entire economies. Charting the way forward for financial services reform requires a fundamental reappraisal of how things are done in order to avert disaster in the near future, and Banks at Risk: Global Best Practices in an Age of Turbulence explores what the future holds, by talking to experts in the know.
Compiling the insights of ten key figures in the financial services industry—regulators, commercial bankers, risk managers, and infrastructure specialists—who look at both strategic and operational issues in their assessments of how to clean up the industry and move towards a system of properly-managed risk, the book explores exactly what we need to do to prevent another crisis.
Sharing their thoughts for the first time are Liu Mingkang, the Chairman of the China Banking Regulatory Commission; Eric Rosengren, President of the Federal Reserve Bank of Boston; Joel Werkama, Assistant Vice President of the Federal Reserve Bank of Boston; Jane Diplock, former chairperson of the International Organization of Securities Commissions and the former head of New Zealand’s securities commission; Jose Maria Roldan, head of the banking supervision at the Bank of Spain; Jesus Saurina, Director of the Financial Stability Department at the Bank of Spain; Dick Kovacevich, former chairman and CEO of Wells Fargo Bank; Mike Smith, CEO of ANZ Group and former head of HSBC’s Asia Pacific operations; Shan Weijian, Chairman and CEO of Pacific Alliance Group and former senior partner of TPG Capital; Rob Close, former CEO of CLS Group; Tham Ming Soong, Chief Risk Officer at the United Overseas Bank in Singapore; and Tsuyoshi Oyama, former head of the risk assessment division in the international affairs division of the Bank of Japan.Vista prèvia a Google Books : http://books.google.es/books?id=08e17V6hGnoC&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 10113067 601.9 Hof Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible An Introduction to Islamic finance / Zamir Iqbal (2007)Permalink
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