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International finance --- #ECO:02.04:financiële sector geldmarkt kapitaalmarkt beleggingen beurs --- AA / International- internationaal --- 333.130.1 --- 333.605 --- Bankbedrijf. Buiten-balans verrichtingen. --- Nieuwe financiële instrumenten. --- Bankbedrijf. Buiten-balans verrichtingen --- Nieuwe financiële instrumenten
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Banks and banking --- Banques --- FR / France - Frankrijk --- 333.130.1 --- 333.101 --- Bankbedrijf. Buiten-balans verrichtingen --- Banksysteem en bankstelsel
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IL / Israel --- 333.130.1 --- 307.32 --- 333.101 --- Bankbedrijf. Buiten-balans verrichtingen --- Bankstatistieken en kredietstatistieken --- Banksysteem en bankstelsel --- #ECO:02.02:financiële sector bank --- Private finance --- Israel
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History of the United Kingdom and Ireland --- Private finance --- anno 1900-1909 --- anno 1910-1919 --- Great Britain --- GB / United Kingdom - Verenigd Koninkrijk - Royaume Uni --- 333.130.1 --- 307.32 --- 331.162.22 --- Bankbedrijf. Buiten-balans verrichtingen. --- Bankstatistieken en kredietstatistieken. --- Geschiedenis van de private banken. --- Banks and banking --- History --- Bankstatistieken en kredietstatistieken --- Geschiedenis van de private banken --- Bankbedrijf. Buiten-balans verrichtingen
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Banks and banking --- Banques --- Social aspects --- Aspect social --- AA / International- internationaal --- US / United States of America - USA - Verenigde Staten - Etats Unis --- 333.130.1 --- 333.108 --- 333.731 --- 331.20 --- Bankbedrijf. Buiten-balans verrichtingen. --- Bankreclame en -marketing. --- Persoonlijk en reëel krediet. Bankkaarten. --- Sociale geschiedenis: algemeenheden. --- Bankbedrijf. Buiten-balans verrichtingen --- Bankreclame en -marketing --- Persoonlijk en reëel krediet. Bankkaarten --- Sociale geschiedenis: algemeenheden
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336.71 (4) --- EUR / Europe - Europa --- DE / Germany - Duitsland - Allemagne --- DK / Denmark - Denemarken - Danemark --- FI / Finland - Finlande --- FR / France - Frankrijk --- GB / United Kingdom - Verenigd Koninkrijk - Royaume Uni --- SE / Sweden - Zweden - Suede --- 333.130.1 --- 333.101 --- Financial regulation --- 332.1094 --- Bankwezen--Europa --- Bankbedrijf. Buiten-balans verrichtingen. --- Banksysteem en bankstelsel. --- 336.71 (4) Bankwezen--Europa --- Bankbedrijf. Buiten-balans verrichtingen --- Banksysteem en bankstelsel
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Cet ouvrage introduit puis illustre deux (grandes) familles de methodes statistiques descriptives par des applications dans le domaine de la gestion financiere, mises en oeuvre grace au logiciel R libre et facile d'acces (codes fournis). Cet ouvrage introduit puis illustre deux (grandes) familles de methodes statistiques descriptives par des applications dans le domaine de la gestion financiere, mises en oeuvre grace au logiciel R libre et facile d'acces.Ces deux familles de methodes statistiques sont : - une analyse statistique descriptive, afin de decrire et de representer par des statistiques des donnees financieres;- des methodes statistiques de modelisation, afin de decrire au mieux le comportement des variables a partir d'une serie d'observations. L'objectif d'une telle description analytique est la recherche d'une modelisation des variables financieres dans un but predictif. Plusieurs series de tests statistiques viennent completer l'analyse, afin de minimiser l'erreur de prevision.Les auteurs mettent l'accent sur des applications financieres concretes, dont la source de donnees principale est Bankscope. Bankscope est une base de donnees qui renferme des informations detaillees sur les banques du monde entier. En complement du livre, deux tableaux complets sont fournis a partir desquels des extractions sont faites pour illustrer directement le cours, ainsi que des applications plus completes en fin de chapitre. La periode d'etude est 2005-2010, ce qui permet d'avoir une analyse d'avant la crise et d'apres la crise de 2008.Pour resoudre ces exercices, les codes d'acces du logiciel R sont a chaque fois fournis.
R (Computer program language) --- Econometrics --- Statistics --- Mathematical statistics --- Data processing --- AA / International- internationaal --- 307.32 --- 333.130.1 --- 333.51 --- Bankstatistieken en kredietstatistieken --- Bankbedrijf. Buiten-balans verrichtingen --- Bankinstellingen --- Econometrics - Data processing --- Statistics - Data processing --- Mathematical statistics - Data processing
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Banks and banking --- Finance --- 333.101 --- 333.130.1 --- US / United States of America - USA - Verenigde Staten - Etats Unis --- Banksysteem en bankstelsel --- Bankbedrijf. Buiten-balans verrichtingen --- United States --- Economic conditions. --- Private finance --- United States of America
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"Effective asset-liability management (ALM) of a financial institution requires making informed strategic and operational decisions. Ever more important in the wake of the corporate bailouts and collapses of the financial crisis, ALM encompasses the formulation, implementation, monitoring, and revision of strategies, often on a daily basis due to the fast-moving nature of the related risks and constraints."--Bloomsbury Publishing Effective asset-liability management (ALM) of a financial institution requires making informed strategic and operational decisions. Ever more important in the wake of the corporate bailouts and collapses of the financial crisis, ALM encompasses the formulation, implementation, monitoring, and revision of strategies, often on a daily basis due to the fast-moving nature of the related risks and constraints. This approachable book features up-to-date practitioner and academic perspectives to provide you with the knowledge you need. Key foundation information is backed up by the latest research and thought leadership to form a comprehensive guide to ALM for today and into the future, with case studies and worked examples. Detailed coverage includes: * Successful risk management frameworks * Coherent stress-testing * Modeling market risk * Derivatives and ALM * Contingency funding to manage liquidity risks * Basel III capital adequacy standard * Investment management for insurers * Property and casualty portfolio management * Funds transfer pricing * Problem loan modeling
Asset-liability management. --- Asset-liability management (Banking) --- Funds management --- Financial institutions --- Management --- Investments --- Asset-liability management --- 333.109 --- 333.130.1 --- 333.53 --- AA / International- internationaal --- Veiligheid. Bankovervallen. Bankrisico's --- Bankbedrijf. Buiten-balans verrichtingen --- Financiële activa en passiva
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JP / Japan - Japon --- 333.613 --- 333.130.1 --- 333.101 --- 343.538 --- 331.30 --- Activiteiten van de nationale en internationale markten. Beursnoteringen van aandelen en obligaties. --- Bankbedrijf. Buiten-balans verrichtingen. --- Banksysteem en bankstelsel. --- Bedrog in bankverrichtingen. --- Economische toestand. --- Japan --- Economic conditions --- Economic policy --- Activiteiten van de nationale en internationale markten. Beursnoteringen van aandelen en obligaties --- Bankbedrijf. Buiten-balans verrichtingen --- Banksysteem en bankstelsel --- Bedrog in bankverrichtingen --- Economische toestand
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