Financial Theory

Fundamental Models in Financial Theory  eBooks & eLearning

Posted by interes at May 18, 2014
Fundamental Models in Financial Theory

Fundamental Models in Financial Theory by Doron Peleg
English | 2014 | ISBN: 0262026678 | 504 pages | PDF | 6,1 MB

This book provides an innovative, integrated, and methodical approach to understanding complex financial models, integrating topics usually presented separately into a comprehensive whole. The book brings together financial models and high-level mathematics, reviewing the mathematical background necessary for understanding these models organically and in context.

Open Yale - ECON 251: Financial Theory  eBooks & eLearning

Posted by FenixN at Oct. 1, 2013
Open Yale - ECON 251: Financial Theory

Open Yale - ECON 251: Financial Theory
26xDVDRip | MOV / AVC, ~1509 kb/s | 640x360 | Duration: 31:58:58 | English: AAC, 128 kb/s (2 ch) | 22.4 GB
Genre: Economics and finances

This course attempts to explain the role and the importance of the financial system in the global economy. Rather than separating off the financial world from the rest of the economy, financial equilibrium is studied as an extension of economic equilibrium. The course also gives a picture of the kind of thinking and analysis done by hedge funds.

Financial Modeling Using C++  eBooks & eLearning

Posted by arundhati at Dec. 12, 2016
Financial Modeling Using C++

Chandan Sengupta, "Financial Modeling Using C++"
2007| ISBN-10: 0471789089 | 565 pages | PDF | 2 MB

The New Financial Order: Risk in the 21st Century (repost)  eBooks & eLearning

Posted by viserion at Dec. 11, 2016
The New Financial Order: Risk in the 21st Century (repost)

Robert J. Shiller, "The New Financial Order: Risk in the 21st Century"
ISBN: 0691091722, 0691120110 | 2003 | EPUB | 384 pages | 2 MB

Finance Ethics: Critical Issues in Theory and Practice (repost)  eBooks & eLearning

Posted by interes at Sept. 5, 2016
Finance Ethics: Critical Issues in Theory and Practice (repost)

Finance Ethics: Critical Issues in Theory and Practice by John R. Boatright
English | 2010 | ISBN: 0470499168 | 592 pages | PDF | 3,5 MB

Financial Mathematics: A Comprehensive Treatment  eBooks & eLearning

Posted by interes at May 1, 2015
Financial Mathematics: A Comprehensive Treatment

Financial Mathematics: A Comprehensive Treatment by Giuseppe Campolieti and Roman N. Makarov
English | 2014 | ISBN: 1439892423 | 829 pages | PDF | 6 MB

Financial Management and Policy (12th Edition) (Repost)  eBooks & eLearning

Posted by manamba13 at March 2, 2015
Financial Management and Policy (12th Edition) (Repost)

Financial Management and Policy (12th Edition) by James C. Van Horne
English | 2002 | ISBN: 0130326577 | 832 Pages | PDF | 25 MB

Highly respected for its effective integration of financial theory and practice, this classic book explores the rapidly evolving and exciting theory of finance as it relates to a corporation's investment in assets, financing, and dividends, explains the ways in which analytical techniques are brought to bear on financial decision making

Financial Management - Theory & Practice - 14th Edition  eBooks & eLearning

Posted by Grev27 at Nov. 21, 2014
Financial Management - Theory & Practice - 14th Edition

Eugene F. Brigham, Michael C. Ehrhardt, "Financial Management - Theory & Practice - 14th Edition"
English | ISBN: 1111972206, 1111972214 | 2013 | PDF | 1200 pages | 44,3 MB

The Economic Organisation of a Financial System  eBooks & eLearning

Posted by ChrisRedfield at Oct. 15, 2014
The Economic Organisation of a Financial System

Edwin H. Neave - The Economic Organisation of a Financial System
Published: 1990-12-21 | ISBN: 0415053536 | PDF | 224 pages | 3 MB
Systemic Liquidity Risk and Bipolar Markets: Wealth Management in Today's Macro Risk On / Risk Off Financial Environment

Systemic Liquidity Risk and Bipolar Markets: Wealth Management in Today's Macro Risk On / Risk Off Financial Environment by Clive M. Corcoran
English | 2013 | ISBN: 1118409337 | ISBN-13: 9781118409336 | 364 pages | PDF | 22 MB

The dramatic and well chronicled crisis of 2007/8 marked a watershed moment for all stakeholders in global capital markets. In the aftermath, financial markets have become even more tightly coupled as correlations in returns across multiple asset classes have been at historically elevated levels.