financial management

Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management Bouchaud, Jean-Philippe Potters,【中古】 Fundamentals of Financial Management / Eugene F. Brigham, Joel F. Houston / South-Western ハードカバー 【メール便送料無料】【あす楽対応】金児のBu‐Ki〈武器 Weapon〉 Book〈決算書〉‐Keeping〈経営 仕分け〉 Financial Statements‐Management〈Journalizing〉 本/雑誌 (単行本 ムック) / 金児昭/著Value and Capital Management A Handbook for the Finance and Risk Functions of Financial Institutions【電子書籍】 Thomas C. WilsonFinancial Management by Knowledge flow【電子書籍】 Knowledge flowFinancial Enterprise Risk Management【電子書籍】 Paul SweetingThe Basics of Public Budgeting and Financial Management A Handbook for Academics and Practitioners【電子書籍】 Charles E. MenifieldEnterprise Compliance Risk Management An Essential Toolkit for Banks and Financial Services【電子書籍】 Saloni RamakrishnaFinancial Planning Analysis and Performance Management【電子書籍】 Jack AlexanderフィナンシャルERM 金融 保険の統合的リスク管理 / 原タイトル:FINANCIAL ENTERPRISE RISK MANAGEMENT 原著第2版の翻訳 本/雑誌 / ポール スウィーティング/著 松山直樹/訳【中古】 Theory of Financial Risks: From Statistical Physics to Risk Management / Jean-Philippe Bouchaud / Jean-Philippe Bouchaud, Marc Potters / Cambridge University Press ハードカバー 【メール便送料無料】【あす楽対応】Fool s Gold : The Truth Behind Angel Investing in America (Financial Management Association Survey and Synthesis Series)Financial Risk Management For Dummies【電子書籍】 Aaron BrownFinancial Services Management A Qualitative Approach【電子書籍】 Stewart FalconerAn Empire of Indifference American War and the Financial Logic of Risk Management【電子書籍】 Randy MartinFinancial Planning Analysis and Performance Management FINANCIAL PLANNING ANALYSIS (Wiley Finance) Jack AlexanderHealthcare Finance: An Introduction to Accounting and Financial Management, Sixth Edition【電子書籍】 Louis GapenskiFinancial Management and Control in Higher Education【電子書籍】 Eric MorganQuantitative Finance with Python A Practical Guide to Investment Management, Trading, and Financial Engineering【電子書籍】 Chris KelliherSchaum 039 s Outline of Financial Management, Third Edition【電子書籍】 Jae Shim
 

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  • 【30日間返品保証】商品説明に誤りがある場合は、無条件で弊社送料負担で商品到着後30日間返品を承ります。ご満足のいく取引となるよう精一杯対応させていただきます。※下記に商品説明およびコンディション詳細、出荷予定・配送方法・お届けまでの期間について記載しています。ご確認の上ご購入ください。【インボイス制度対応済み】当社ではインボイス制度に対応した適格請求書発行事業者番号(通称:T番号・登録番号)を印字した納品書(明細書)を商品に同梱してお送りしております。こちらをご利用いただくことで、税務申告時や確定申告時に消費税額控除を受けることが可能になります。また、適格請求書発行事業者番号の入った領収書・請求書をご注文履歴からダウンロードして頂くこともできます(宛名はご希望のものを入力して頂けます)。■商品名■Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management■出版社■Cambridge University Press■著者■Bouchaud Jean-Philippe■発行年■2003/12/11■ISBN10■0521819164■ISBN13■9780521819169■コンディションランク■可コンディションランク説明ほぼ新品:未使用に近い状態の商品非常に...
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  • 著者:Eugene F. Brigham, Joel F. Houston出版社:South-Westernサイズ:ハードカバーISBN-10:0030244188ISBN-13:9780030244186■通常24時間以内に出荷可能です。※繁忙期やセール等、ご注文数が多い日につきましては 発送まで48時間かかる場合があります。あらかじめご了承ください。 ■メール便は、1冊から送料無料です。※宅配便の場合、2,500円以上送料無料です。※あす楽ご希望の方は、宅配便をご選択下さい。※「代引き」ご希望の方は宅配便をご選択下さい。※配送番号付きのゆうパケットをご希望の場合は、追跡可能メール便(送料210円)をご選択ください。■ただいま、オリジナルカレンダーをプレゼントしております。■お急ぎの方は「もったいない本舗 お急ぎ便店」をご利用ください。最短翌日配送、手数料298円から■まとめ買いの方は「もったいない本舗 おまとめ店」がお買い得です。■中古品ではございますが、良好なコンディションです。決済は、クレジットカード、代引き等、各種決済方法がご利用可能です。■万が一品質に不備が有った場合は、返金対応。■クリーニング済み。■商品画像に「帯」が付いているものがありますが、中古品のため、実際の商品には付いてい...
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  • ご注文前に必ずご確認ください<商品説明><収録内容>第1部 金児のBu‐Ki(武器=Weapon)=Book‐Keeping=Financial Statements‐Management(Bu‐Ki(武器=Weapon)=Book‐Keeping=Financial Statements‐Managementを発見「残増減残」「科目の四マス」を使った“金児のBalance Sheet”超入門「仕分け」(=経営)から一足飛びで「決算書」が出来上がりB/S:現金ほか“資産”の科目B/S:借入金ほか“負債の科目”B/S:資本金ほか“純資産”の科目「利益剰余金」)第2部 金児昭の公開講座『みんなの経理・財務“入門”』(7月(新入4か月目)金児のBu‐Ki(武器=Weapon)=Book‐Keeping=Financial Statements‐Managementから始める8月(新入5か月目)バランス・シートを学ぶ9月(新入6か月目)損益計算書を学ぶ10月(新入7か月目)キャッシュフロー計算書の「あらまし」だけを学ぶ世界一かんたんな「Bu‐Ki式」会社等の経営分析—決算書の数値だけに基づく)<商品詳細>商品番号:NEOBK-1398566Kaneko Akira / Cho / Kaneko No Bu Ki <Buki = Weapon> = Book <Kessan Sho> Keeping <Keiei = Shiwake> = Financial Statements Management <Journalizing>メディア:本/雑誌重量:340g発売日:2012/12JAN:978441...
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  • <p><strong>A value management framework designed specifically for banking and insurance</strong></p> <p><em>The Value Management Handbook</em> is a comprehensive, practical reference written specifically for bank and insurance valuation and value management. Spelling out how the finance and risk functions add value in their respective spheres, this book presents a framework for measuring ? and more importantly, influencing ? the value of the firm from the position of the CFO and CRO. Case studies illustrating value-enhancing initiatives are designed to help Heads of Strategy offer CEOs concrete ideas toward creating more value, and discussion of "hard" and "soft" skills put CFOs and CROs in a position to better influence strategy and operations. The challenge of financial services valuation is addressed in terms of the roles of risk and capital, and business-specific "value trees" demonstrate the source of successful value enhancement initiatives.</p> <p>While most...
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  • <p>★★★★★LEARNING STARTS WITH VIEWING THE WORLD DIFFERENTLY. ★★★★★</p> <p>Knowledge flow ー A mobile learning platform provides Apps and Books.</p> <p>Knowledge flow provides learning book of Financial Management. This book is for all management students and professionals across the world. Financial management deals with the management of money in a very effective and efficient manner. This book of financial management covers the entire basic concepts like sources, capital structure, budgeting and dividend policy related to business finance.</p> <p>Contents:</p> <ol> <li>Introduction to Financial management</li> <li>Analysis of financial statement</li> <li>Sources of Finance</li> <li>Capital Structure</li> <li>Capitalization</li> <li>Cost of capital</li> <li>Capital Budgeting</li> <li>Leverage</li> <li>Working capital management</li> <li>Dividend policy</li> </ol> <p>To find more education books, visit here knowledgeflow.i...
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  • <p>This comprehensive, yet accessible, guide to enterprise risk management for financial institutions contains all the tools needed to build and maintain an ERM framework. It discusses the internal and external contexts with which risk management must be carried out, and it covers a range of qualitative and quantitative techniques that can be used to identify, model and measure risks. This new edition has been thoroughly updated to reflect new legislation and the creation of the Financial Conduct Authority and the Prudential Regulation Authority. It includes new content on Bayesian networks, expanded coverage of Basel III, a revised treatment of operational risk and a fully revised index. Over 100 diagrams are used to illustrate the range of approaches available, and risk management issues are highlighted with numerous case studies. This book also forms part of the core reading for the UK actuarial profession's specialist technical examination in enterprise risk management, ST9.<...
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  • <p>In The Basics of Public Budgeting and Financial Management: A Handbook for Academics and Practitioners, 4th Edition, Charles E. Menifield carefully examines the key areas that every budgeting and financial management student needs to know in order to be a successful budgeteer in a local government, nonprofit, or state-level budget office. His analysis includes a discussion of: basic budgeting concepts; accounting techniques; a discussion of the budget process; budget techniques and analytical models; capital and personnel budgets; financial management; and budget presentations. Homework assignments reinforce the various subjects with practical applications that allow the students to reflect and engage the material in a realistic manner. This book blends budgetary theory and practice in a volume that is easy to understand by both undergraduate and graduate students alike.</p>画面が切り替わりますので、しばらくお待ち下さい。 ※ご購入は、楽天kobo商品ページからお願いします。※切り替...
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  • <p><strong>The tools and information that build effective compliance programs</strong></p> <p><em>Enterprise Compliance Risk Management: An Essential Toolkit for Banks and Financial Services</em> is a comprehensive narrative on managing compliance and compliance risk that enables value creation for financial services firms. Compliance risk management, a young, evolving yet intricate discipline, is occupying center stage owing to the interplay between the ever increasing complexity of financial services and the environmental effort to rein it in. The book examines the various facets of this layered and nuanced subject.</p> <p><em>Enterprise Compliance Risk Management</em> elevates the context of compliance from its current reactive stance to how a proactive strategy can create a clear differentiator in a largely undifferentiated market and become a powerful competitive weapon for organizations. It presents a strong case as to why it makes immense business sense ...
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  • <p><strong>Critical insights for savvy financial analysts</strong></p> <p><em>Financial Planning & Analysis and Performance Management</em> is the essential desk reference for CFOs, FP&A professionals, investment banking professionals, and equity research analysts. With thought-provoking discussion and refreshing perspective, this book provides insightful reference for critical areas that directly impact an organization’s effectiveness. From budgeting and forecasting, analysis, and performance management, to financial communication, metrics, and benchmarking, these insights delve into the cornerstones of business and value drivers. Dashboards, graphs, and other visual aids illustrate complex concepts and provide reference at a glance, while the author’s experience as a CFO, educator, and general manager leads to comprehensive and practical analytical techniques for real world application.</p> <p>Financial analysts are under constant pressure to perform at higher an...
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  • ご注文前に必ずご確認ください<商品説明><収録内容>ERMの導入金融機関の種類利害関係者内部環境外部環境プロセスの概観リスクの定義リスクの特定有用な統計量確率分布モデル化の技法極値論時系列モデリング個別リスクの計量化リスクアセスメントリスクへの対応継続的留意事項経済資本リスクフレームワークケーススタディー問題の解答<商品詳細>商品番号:NEOBK-2675392Poru Sweetie N Gu / Cho Matsuyama Naoki / Yaku / Fu Inansharu ERM Kinyu Hoken No Togo Teki Risk Kanri / Original Title: FINANCIAL ENTERPRISE RISK MANAGEMENT Gencho Dai2 Han No Honyakuメディア:本/雑誌発売日:2021/11JAN:9784254290288フィナンシャルERM 金融・保険の統合的リスク管理 / 原タイトル:FINANCIAL ENTERPRISE RISK MANAGEMENT 原著第2版の翻訳[本/雑誌] / ポール・スウィーティング/著 松山直樹/訳2021/11発売
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  • 著者:Jean-Philippe Bouchaud, Marc Potters出版社:Cambridge University Pressサイズ:ハードカバーISBN-10:0521782325ISBN-13:9780521782326■通常24時間以内に出荷可能です。※繁忙期やセール等、ご注文数が多い日につきましては 発送まで48時間かかる場合があります。あらかじめご了承ください。 ■メール便は、1冊から送料無料です。※宅配便の場合、2,500円以上送料無料です。※あす楽ご希望の方は、宅配便をご選択下さい。※「代引き」ご希望の方は宅配便をご選択下さい。※配送番号付きのゆうパケットをご希望の場合は、追跡可能メール便(送料210円)をご選択ください。■ただいま、オリジナルカレンダーをプレゼントしております。■お急ぎの方は「もったいない本舗 お急ぎ便店」をご利用ください。最短翌日配送、手数料298円から■まとめ買いの方は「もったいない本舗 おまとめ店」がお買い得です。■中古品ではございますが、良好なコンディションです。決済は、クレジットカード、代引き等、各種決済方法がご利用可能です。■万が一品質に不備が有った場合は、返金対応。■クリーニング済み。■商品画像に「帯」が付いているものがありますが、中古品のため、実際の...
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    商品の説明

  • 【30日間返品保証】商品説明に誤りがある場合は、無条件で弊社送料負担で商品到着後30日間返品を承ります。ご満足のいく取引となるよう精一杯対応させていただきます。※下記に商品説明およびコンディション詳細、出荷予定・配送方法・お届けまでの期間について記載しています。ご確認の上ご購入ください。【インボイス制度対応済み】当社ではインボイス制度に対応した適格請求書発行事業者番号(通称:T番号・登録番号)を印字した納品書(明細書)を商品に同梱してお送りしております。こちらをご利用いただくことで、税務申告時や確定申告時に消費税額控除を受けることが可能になります。また、適格請求書発行事業者番号の入った領収書・請求書をご注文履歴からダウンロードして頂くこともできます(宛名はご希望のものを入力して頂けます)。■商品名■Fool's Gold?: The Truth Behind Angel Investing in America (Financial Management Association Survey and Synthesis Series)■出版社■Oxford Univ Pr on Demand■著者■Shane Scott■発行年■2008/11/12■ISBN10■0195331087■ISBN13■9780195331080■コンディションランク■良いコンディションランク説明ほぼ新品:未使用に近...
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  • <p><strong>Take the risk out of financial risk management</strong></p> <p>Written by bestselling author and past winner of the GARP Award's Risk Manager of the Year, Aaron Brown, <em>Financial Risk Management For Dummies</em> offers thorough and accessible guidance on successfully managing and controlling financial risk within your company. Through easy-to-follow instruction, you'll find out how to manage risk, firstly by understanding it, and then by taking control of it. Plus, you'll discover how to measure and value financial risk, set limits, stop losses, control drawdowns and hedge bets.</p> <p>Financial risk management uses financial instruments to manage exposure to risk within firms, large and smallーparticularly credit risk and market risk. From managing and measuring risk to working in financial institutions and knowing how to communicate risk to your company and clients, <em>Financial Risk Management For Dummies</em> makes it easy to make sense of th...
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  • <p>Sweeping changes have taken place within financial services over the course of the past thirty years in response to a variety of influences, such as changes in customer attitudes, an evolving regulatory environment, innovations in information technology and the intense level of competition within the sector. In addition, the global financial crisis has had a huge impact on the perceptions of stakeholders and on the reputations of organisations operating in financial services.</p> <p>This new textbook introduces management with a focus on concepts, theories and skills particularly suited to the financial services sector. Beginning with an overview of the development of management theories through history, the text then focuses on topical issues such as organizational design, the use of information technology, the development of a marketing orientation, social responsibility, ethics and, the influence of the external business and social environments and organizational develop...
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  • <p>In this significant Marxist critique of contemporary American imperialism, the cultural theorist Randy Martin argues that a finance-based logic of risk control has come to dominate Americans’ everyday lives as well as U.S. foreign and domestic policy. Risk managementーthe ability to adjust for risk and to leverage it for financial gainーis the key to personal finance as well as the defining element of the massive global market in financial derivatives. The United States wages its amorphous war on terror by leveraging particular interventions (such as Iraq) to much larger ends (winning the war on terror) and by deploying small numbers of troops and targeted weaponry to achieve broad effects. Both in global financial markets and on far-flung battlegrounds, the multiplier effects are difficult to foresee or control.</p> <p>Drawing on theorists including Michel Foucault, Giorgio Agamben, Michael Hardt, Antonio Negri, and Achille Mbembe, Martin illuminates a frightening financia...
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  • FINANCIAL PLANNING & ANALYSIS Wiley Finance Jack Alexander WILEY2018 Hardcover English ISBN:9781119491484 洋書 Business & SelfーCulture(ビジネス) Business & Economics
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  • <p><strong>Bonus Chapters 18 & 19 (click here for access)</strong><br /> <strong>Practice Exercises for Students (click here for access)</strong></p> <p><strong>Instructor Resources:</strong> Test bank, PowerPoint slides, solutions to end-of-chapter questions and problems, and a transition guide to the new edition.</p> <p>The essential concepts of both accounting and financial management are covered in this best-selling healthcare finance book. Through clear explanations, numerous examples, and realistic practice problems, it arms future managers with the grounding they need to make financially sound decisions for their healthcare organizations.</p> <p>This thoroughly updated edition provides more emphasis on the unique marketplace for healthcare services and additional examples from nonhospital settings, including medical practices, clinics, home health agencies, nursing homes, and managed care organizations.</p> <p>Particular content changes include...
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  • <p>Full of tried and tested case material, examples and useful illustrations, this book considers the latest developments and covers all levels of financial management from the structure of the management of institutions right down to the course level and managing budgets.</p>画面が切り替わりますので、しばらくお待ち下さい。 ※ご購入は、楽天kobo商品ページからお願いします。※切り替わらない場合は、こちら をクリックして下さい。 ※このページからは注文できません。
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  • <p><em><strong>Quantitative Finance with Python: A Practical Guide to Investment Management, Trading and Financial Engineering</strong></em> bridges the gap between the theory of mathematical finance and the practical applications of these concepts for derivative pricing and portfolio management. The book provides students with a very hands-on, rigorous introduction to foundational topics in quant finance, such as options pricing, portfolio optimization and machine learning. Simultaneously, the reader benefits from a strong emphasis on the practical applications of these concepts for institutional investors.</p> <p><strong>Features</strong></p> <ul> <li>Useful as both a teaching resource and as a practical tool for professional investors.</li> <li>Ideal textbook for first year graduate students in quantitative finance programs, such as those in master’s programs in Mathematical Finance, Quant Finance or Financial Engineering.</li> <li>Includes a persp...
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  • <p><strong>Confused about financial management? Problem solved.</strong></p> <p><em>Schaum's Outline of Financial Management</em> provides a succinct review of all financial management concepts in topics such as financial forecasting, planning and budgeting, the management of working capital, short-term financing, time value of money, risk, return, and valuation, capital budgeting, and more.</p>画面が切り替わりますので、しばらくお待ち下さい。 ※ご購入は、楽天kobo商品ページからお願いします。※切り替わらない場合は、こちら をクリックして下さい。 ※このページからは注文できません。
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