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Beleggen in 2021
Year: 2020 Publisher: Roeselare Roularta Media Group NV

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Securitization economics : deconstructing the economic foundations of asset securitization
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ISBN: 9783030503253 9783030503260 Year: 2020 Publisher: Cham Springer

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Financial risk management : an end user perspective
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ISBN: 9789811201837 9789811202674 Year: 2020 Publisher: Singapore World Scientific

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The Financial Times guide to investing : the definitive companion to investment and the financial markets
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ISBN: 9781292214078 9781292214085 9781292214092 Year: 2020 Publisher: Harlow Pearson

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Portfolio diversification
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ISBN: 9781785481918 9780081017869 0081017863 Year: 2020 Publisher: London ISTE Press/Elsevier

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"Portfolio Diversification provides an update on the practice of combining several risky investments in a portfolio with the goal of reducing the portfolio's overall risk. In this book, readers will find a comprehensive introduction and analysis of various dimensions of portfolio diversification (assets, maturities, industries, countries, etc.), along with time diversification strategies (long term vs. short term diversification) and diversification using other risk measures than variance. Several tools to quantify and implement optimal diversification are discussed and illustrated. Focuses on portfolio diversification across all its dimensionsIncludes recent empirical material that was created and developed specifically for this bookProvides several tools to quantify and implement optimal diversification."--Publisher description.


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Beleggen in 2021
Year: 2020 Publisher: Roeselare Roularta Media Group NV

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Beleggen in tijden van corona : waarom een crisis altijd een kans is
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Year: 2020 Publisher: Roeselare NV Roularta Media Group

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Investir au temps du corona : pourquoi une crise est-elle toujours une opportunité?
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Year: 2020 Publisher: Bruxelles S.A. Le Vif Magazine

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Die Deutsche Kapitalmarktgesetzgebung Im Ausgehenden 20. Jahrhundert : Unter Betrachtung des Deregulierungsvorwurfs Im Finanzmarktkapitalismus
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ISBN: 3658300140 Year: 2020 Publisher: Wiesbaden, Germany : Springer Fachmedien Wiesbaden GmbH,

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Das Ende des 20. Jahrhunderts ist durch eine intensive Gesetzgebung im Bereich des deutschen Kapitalmarktrechts geprägt, die dessen Geburtsstunde markiert und deren Leitlinien und Hintergründe daher historisch eine besondere Aufmerksamkeit verdienen. Diese Epoche ist außerdem das Ziel breiter Kritik. Insbesondere Anhänger der neuen Sozio-Ökonomie werfen dem Gesetzgeber vor, er habe den Kapitalmarkt Ende des 20. Jahrhunderts „dereguliert“ und dadurch ein neues Wirtschaftsmodell – den Finanzmarktkapitalismus – in Deutschland etabliert. Mit der vorliegenden normativen und ökonomisch-rechtstatsächlichen Untersuchung wird diese These untersucht und gezeigt, dass sich bis 2007 ein finanzmarktkapitalistisches System in Deutschland nicht entwickelt hat. Der Inhalt Entwicklungslinien der Kapitalmarktgesetzgebung 1986 - 2002 Die Geburt des deutschen Kapitalmarktrechts Investmentfonds als neue Herrscher der Unternehmen? Finanzialisierung – ein „entkoppelter“ Markt mit „Aktienkultur“? Ein deutscher Markt für feindliche Unternehmensübernahmen? Ein internationalisierter deutscher Kapitalmarkt? Die Zielgruppen Dozierende und Studierende der Rechtswissenschaften (Kapitalmarktrecht, Börsenrecht, Wertpapierrecht), Sozialwissenschaften (Sozio-Ökonomie), Wirtschaftswissenschaften (VWL), Geschichte (neuere Zeitgeschichte) Praktiker und Praktikerinnen aus Kapitalmarktrecht, Wertpapierrecht, Börsenrecht Der Autor Thorben Marc-André Spindler ist Rechtsanwalt in einer überregional tätigen Kanzlei mit Schwerpunkten im Erb- und Gesellschaftsrecht.


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Fund managers : the complete guide
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ISBN: 1119515637 1119515343 1119515599 Year: 2020 Publisher: Chichester, West Sussex : Wiley,

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"Fund Managers: The Complete Guide constitutes an all-encompassing overview of the asset manager right across the world, set against the backdrop of the last decade's recovery from the banking crisis and the recent technology boom, coupled with more recent political fluctuations that have altered the way business is conducted in the City and across the rest of the financial markets. The book is in two sections. The first half examines the asset manager, including the categories of manager, the asset classes they participate in, how they are making use of technology and their own views on the market. The second half takes a wider view of the market, and includes upcoming changes to regulation and taxation as well as the macro political shifts occurring now across the Western world and what that entails for the East. Throughout, the book will contain insights arising from interviews with current and future asset managers of various sizes, from the UK, EU and US, as well as with leaders in the technology industry, which will include both large and small fintech companies. Topics covered include: How asset managers operate and what they are for -- Types of assets managed and how they influence the manager's strategy -- Types of investor, and their feelings about the industry -- The influence of macroeconomic and political factors including international taxation, anti-globalisation and populism -- The impact of technology and disruptive products and players -- Governance and regulation -- The operation of asset managers in different regions and how local culture influences their strategies"--

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