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Options, contrats à terme et gestion des risques : Analyse, évaluation, stratégies.
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ISBN: 271784578X Year: 2003 Publisher: Paris : Economica,

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Gestion des risques de taux d'intérêt et de change : théories et exercices corrigés
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ISSN: 13784250 ISBN: 2804147851 9782804147853 Year: 2005 Volume: *13 Publisher: Bruxelles: De Boeck,


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L'évaluation des options : analyse et évaluation des contrats d'options standardisés
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ISSN: 09823344 ISBN: 2130447090 9782130447092 Year: 1993 Publisher: Paris: PUF,

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Propose une initiation à la théorie des options et ses applications pour valoriser les contrats d'options standardisés les plus usités dans la gestion de portefeuille domestique et internationale.


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Gestion des risques dans un cadre international: réflexions théoriques et tests empiriques
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ISBN: 2717841296 Year: 2000 Publisher: Paris Economica

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Finance moderne d'entreprise
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ISBN: 2717837442 9782717837445 Year: 1998 Publisher: Paris: Economica,

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Couvre simultanément les décision de financement, la politique des dividendes, la gestion de la dette, l'évaluation des sociétés, l'étude des propositions d'investissement, l'analyse des opérations de fusion et d'acquisitions et la gouvernance des entreprises.

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Gestion financière : diagnostic, évaluation, choix des projets et des investissements
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ISBN: 9782717847987 2717847987 Year: 2004 Publisher: Paris: Economica,

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Corporations


Book
6th International Finance Conference on Financial Crisis and Governance
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ISBN: 1443833126 9781443833127 9781443833080 1443833088 Year: 2011 Publisher: Newcastle upon Tyne, UK : Cambridge Scholars,

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Financial markets, the banking system, and the real estate, commodity and energy markets have, since 2007, been experiencing higher integration, more volatility and have undergone several shocks. More coordination is needed between G20 and market authorit


Book
Risk management and value : valuation and asset pricing
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ISSN: 17933641 ISBN: 1281911585 9786611911584 9812770747 9789812770745 9812770739 9789812770738 9781281911582 Year: 2008 Volume: 3 Publisher: Singapore ; Hackensack, NJ : World Scientific,

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This book provides a comprehensive discussion of the issues related to risk, volatility, value and risk management. It includes a selection of the best papers presented at the Fourth International Finance Conference 2007, qualified by Professor James Heckman, the 2000 Nobel Prize Laureate in Economics, as a ""high level"" one. The first half of the book examines ways to manage risk and compute value-at-risk for exchange risk associated to debt portfolios and portfolios of equity. It also covers the Basel II framework implementation and securitisation. The effects of volatility and risk on the

Finance contemporaine : analyse, évaluation et applications.
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ISBN: 2717844813 Year: 2002 Publisher: Paris : Economica,

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