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Applied C# in Financial Markets

Applied C# in Financial Markets covers all the aspects of C# relevant to practitioners working in financial sector. It contains a practical;

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International Financial Markets

This book provides an up-to-date series of advanced chapters on applied financial econometric techniques pertaining the various fields;

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International Financial Markets

This book provides an up-to-date series of advanced chapters on applied financial econometric techniques pertaining the various fields;

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New Developments in Banking & Finance

This book includes important global research concerning financial institutions and the money and capital markets within which they function;

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Emerging Topics in Banking & Finance

This book includes important global research concerning financial institutions and the money and capital markets within which they function;

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Global Financial Markets

This text explores foreign exchange options theory and trading, equity markets, commodity markets, swap financing techniques, and financial;

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Financial Markets and Institutions in Singapore

(SFA), Financial Advisers Act (FAA), the new Financial Sector Incentives (FSI) scheme, which consolidated several tax schemes applied to the;

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Applied Intermediate Macroeconomics

This textbook offers a complete course in applied macroeconomics at the intermediate level that emphasizes the application of economic;

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Applied Intermediate Macroeconomics

This textbook offers a complete course in applied macroeconomics at the intermediate level that emphasizes the application of economic;

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Innovation and Financial Markets

Combining insights from academic research and practical examples, this book aims to better understand the link between financial markets;

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Advanced Studies of Financial Technologies and Cryptocurrency Markets

graduate students and researchers from disciplines such as finance, economics, financial engineering, computer science, physics and applied;

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Risk Assessment and Financial Regulation in Emerging Markets' Banking

markets, the book presents the methodologies applied to credit and market financial risks and integrated and payment risks, and discusses the;

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Fibonacci And Gann Applications In Financial Markets

retracements and numbers can be successfully applied to financial market time series. What is missing is a book that addresses the common errors;

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Corporate Financial Management

Long-term Finance and Capital Markets - Exercises and cases.Exercises and cases to the book Corporate Financial Management;

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Financial Markets and Institutions

of the workings of financial markets and institutions. Theory is covered only where absolutely necessary and a practical, applied approach;

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International Financial Integration

This study examines the progress made in integrating the financial markets of the major industrial countries: Britain, France, Germany;

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Financial Markets and Institutions

With its clear and accessible style, Financial Markets and Institutions will help students make sense of the financial activity that is so;

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Brazilian Derivatives and Securities

quantitative, applied guide to the offshore and onshore Brazilian markets, with a focus on the financial instruments unique to the region. It offers a;

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The Economics of Financial Markets

prices - this textbook explores how the economics of uncertainty can be applied to financial decision-making. The mean-variance model;

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Restructuring Regulation and Financial Institutions

may be applied by policy makers contemplating the restructuring of regulations and financial institutions. The contributors to this;

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The Dynamics of Emerging Stock Markets

stock markets has been particularly challenged by their fast changes in nature and size under the effects of financial liberalization and;

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The Dynamics of Emerging Stock Markets

stock markets has been particularly challenged by their fast changes in nature and size under the effects of financial liberalization and;

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Forecasting Financial Markets

Today s financial markets are characterised by a large number of participants, with different appetites for risk, different time horizons;

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Financial Engineering with Copulas Explained

This is a succinct guide to the application and modelling of dependence models or copulas in the financial markets. First applied to credit;

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Predicting the Unpredictable?

The author discusses how research in financial markets has evolved and whether the application of theories can ever be translated into;

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An Introduction to Global Financial Markets

This textbook provides an accessible introduction to finance and financial markets around the world. Requiring no previous knowledge of the;

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