International Financing Review

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International Financing Review

Author : Anonim
Publisher : Unknown
Page : 462 pages
File Size : 44,5 Mb
Release : 1997
Category : Banks and banking, International
ISBN : UOM:35128002304648

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International Financing Review by Anonim Pdf

International Finance

Author : H. Kent Baker,Leigh A. Riddick
Publisher : Oxford University Press
Page : 701 pages
File Size : 40,6 Mb
Release : 2013-01-17
Category : Business & Economics
ISBN : 9780199754656

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International Finance by H. Kent Baker,Leigh A. Riddick Pdf

Understanding the current state of affairs and tools available in the study of international finance is increasingly important as few areas in finance can be divorced completely from international issues. International Finance reflects the new diversity of interest in international finance by bringing together a set of chapters that summarizes and synthesizes developments to date in the many and varied areas that are now viewed as having international content. The book attempts to differentiate between what is known, what is believed, and what is still being debated about international finance. The survey nature of this book involves tradeoffs that inevitably had to be made in the process given the vast footprint that constitutes international finance. No single book can cover everything. This book, however, tries to maintain a balance between the micro and macro aspects of international finance. Although each chapter is self-contained, the chapters form a logical whole that follows a logical sequence. The book is organized into five broad categories of interest: (1) exchange rates and risk management, (2) international financial markets and institutions, (3) international investing, (4) international financial management, and (5) special topics. The chapters cover market integration, financial crisis, and the links between financial markets and development in some detail as they relate to these areas. In each instance, the contributors to this book discuss developments in the field to date and explain the importance of each area to finance as a field of study. Consequently, the strategic focus of the book is both broad and narrow, depending on the reader's needs. The entire book provides a broad picture of the current state of international finance, but a reader with more focused interests will find individual chapters illuminating on specific topics.

International Financing Review

Author : Anonim
Publisher : Unknown
Page : 470 pages
File Size : 50,9 Mb
Release : 1996
Category : Banks and banking, International
ISBN : UOM:35128001983350

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International Financing Review by Anonim Pdf

The Credit Risk of Complex Derivatives

Author : E. Banks
Publisher : Springer
Page : 556 pages
File Size : 50,8 Mb
Release : 2016-01-12
Category : Business & Economics
ISBN : 9781403946096

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The Credit Risk of Complex Derivatives by E. Banks Pdf

Since the publication of the second edition of The Credit Risk of Complex Derivatives in 1997, the world of derivatives has gone through a period of dramatic change - in the external operating environment, product and market characteristic and risk management techniques. In the light of these changes, the text has been substantially reorganized, updated and expanded. Several new chapters have been added including: * Derivative losses * Risk governance and risk management efforts * Regulatory initiatives and advances * Credit risk portfolio models Aimed at clients, intermediaries and regulators, this edition will be focused clearly on risk education, risk management and risk disclosure in order to make participation in derivatives more secure, transparent, efficient and beneficial.

The Debt Trap

Author : Sebastien Canderle
Publisher : Harriman House Limited
Page : 542 pages
File Size : 54,7 Mb
Release : 2016-09-19
Category : Business & Economics
ISBN : 9780857195418

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The Debt Trap by Sebastien Canderle Pdf

This is the inside story of private equity dealmaking. Over the last 40 years, LBO fund managers have demonstrated that they are good at making money for themselves and their investors. But when one looks beneath the surface of the transactions they engineer, it is apparent that these deals can, at times, go spectacularly wrong. Through 14 business stories, all emanating from the noughties' credit bubble and including headline-grabbing names like Caesars, Debenhams, EMI, Hertz, Seat Pagine Gialle and TXU, The Debt Trap shows how, via controversial practices like quick flips, repeat dividend recaps, heavy cost-cutting and asset-stripping, leveraged buyouts changed, for better or for worse, the way private companies are financed and managed today. From technological disruption in the worlds of music recording and business-directory publishing to economic turbulence in the gambling, real estate and energy sectors, highly levered corporations are often incapable of handling market corrections when debt commitments start piling up. Behind the historical events and the financial empires erected by some of the elite private equity specialists, these 14 in-depth case studies examine how value-maximising techniques and a short-cut mentality can impact investment returns and portfolio assets. Whether you are a PE practitioner, investor, business manager, academic or business student, you will find The Debt Trap to be an authoritative and fascinating account.

Global Financial Markets

Author : Ian H. Giddy
Publisher : Unknown
Page : 608 pages
File Size : 41,6 Mb
Release : 1992
Category : Electronic
ISBN : 8174730656

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Global Financial Markets by Ian H. Giddy Pdf

Contents:- A Framework for International Finance Foreign-Exchange Prediction and Hedging Tools International Banking and Credit Markets International Capital Markets International Financing Review Section.

Emerging Asian Fixed Income Markets

Author : Erik Banks
Publisher : Springer
Page : 362 pages
File Size : 49,5 Mb
Release : 1994-11-17
Category : Business & Economics
ISBN : 9781349136339

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Emerging Asian Fixed Income Markets by Erik Banks Pdf

The investor community is constantly looking for new sources of investment opportunity in the form of current income and capital gains. Much of the focus by fund managers, institutional investors and retail investors is currently on the global emerging markets of Asia where over $1 trillion of infrastructure and development projects will have to be funded over the next decade. In recent months, more institutions have been focusing on the fixed income markets, where returns have been impressive. The text from credit risk authority Erik Banks provides a detailed review of the emerging Asian fixed income markets and their primary instruments, along with a discussion of market participants, market mechanics and associated hedging and financing instruments.

Handbook of International Financial Management

Author : Michael Z Brooke
Publisher : Springer
Page : 675 pages
File Size : 42,9 Mb
Release : 2016-03-29
Category : Business & Economics
ISBN : 9781349117956

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Handbook of International Financial Management by Michael Z Brooke Pdf

The Handbook of International Financial Management brings together a wide range of topical expertise on issues of immediate relevance to finance directors, bankers, advisers and consultants with the support of a powerful editorial board representing international financial institutions. The book is divided into 6 parts. The first looks at the world scene in which international finance is operated, the second at capital structures and financing, part 3, insurance and compensation trading. Part 4 covers investment appraisal and corporate financial policies, followed by an assessment of risks involved in part 5. The final section deals with international tax planning.

Project Finance for Construction and Infrastructure

Author : Frederik Pretorius,Berry-Fong Chung-Hsu,Arthur McInnes,Paul Lejot,Douglas Arner
Publisher : John Wiley & Sons
Page : 372 pages
File Size : 50,7 Mb
Release : 2008-04-30
Category : Technology & Engineering
ISBN : 9780470697931

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Project Finance for Construction and Infrastructure by Frederik Pretorius,Berry-Fong Chung-Hsu,Arthur McInnes,Paul Lejot,Douglas Arner Pdf

This is a self-contained text on the logic and institutions of project finance, supplemented by a series of project finance case studies illustrating applications in different economic environments, across different jurisdictions and at different stages of development. It will introduce an analytical framework drawing on applied institutional economics that includes and concentrates primarily on an analysis of the institutional logic behind generic project finance arrangements. The application of the institutional framework will be demonstrated with project cases from Hong Kong, Thailand, India, Europe and Azerbaijan – each at different stages of development. While each project case will have a general theme and will highlight aspects of interest to built environment professionals, it will primarily be used to illustrate one or more specific PF/PFI principle.

Project Financing and the International Financial Markets

Author : Esteban C. Buljevich,Yoon S. Park
Publisher : Springer Science & Business Media
Page : 311 pages
File Size : 46,6 Mb
Release : 1999-07-31
Category : Business & Economics
ISBN : 9780792385240

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Project Financing and the International Financial Markets by Esteban C. Buljevich,Yoon S. Park Pdf

The book provides an in-depth description of cross-border project financing as a technique for financing capital-intensive projects as well as an overview of certain financing and derivative instruments currently available in the global financial markets."--BOOK JACKET.

The Credit Risk of Complex Derivatives

Author : Erik Banks
Publisher : Springer
Page : 397 pages
File Size : 50,8 Mb
Release : 1997-05-14
Category : Business & Economics
ISBN : 9781349144846

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The Credit Risk of Complex Derivatives by Erik Banks Pdf

This edition of The Credit Risk of Complex Derivatives is fully updated and enhanced. It discusses and analyses the credit risks of the new financial derivatives. The book commences with an overview of the regulatory environment and the renewed emphasis on risk Management. It then provides a comprehensive review of complex options and swaps, with extensive examples and illustrations. The text concludes with a detailed discussion of portfolio credit risk issues and techniques in order to ensure the most effective and accurate understanding of complex derivative credit risk.

Portfolio Investment Flows to Emerging Markets

Author : Sudarshan Gooptu
Publisher : World Bank Publications
Page : 74 pages
File Size : 54,6 Mb
Release : 1993
Category : Electronic
ISBN : 8210379456XXX

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Portfolio Investment Flows to Emerging Markets by Sudarshan Gooptu Pdf

EU Securities and Financial Markets Regulation

Author : Niamh Moloney
Publisher : Oxford University Press
Page : 993 pages
File Size : 50,9 Mb
Release : 2023-03-29
Category : Electronic
ISBN : 9780198844877

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EU Securities and Financial Markets Regulation by Niamh Moloney Pdf

Over the decade or so since the global financial crisis rocked EU financial markets and led to wide-ranging reforms, EU securities and financial markets regulation has continued to evolve. The legislative framework has been refined and administrative rulemaking has expanded. Alongside, the Capital Markets Union agenda has developed, the UK has left the EU, and ESMA has emerged as a decisive influence on EU financial markets governance. All these developments, as well as the Covid-19 pandemic, have shaped the regulatory landscape and how supervision is organized. EU Securities and Financial Markets Regulation provides a comprehensive, critical, and contextual account of the intricate rulebook that governs EU financial markets and its supporting institutional arrangements. It is framed by an assessment of how the regime has evolved over the decade or so since the global financial crisis and considers, among other matters, the post-crisis reforms to key legislative measures, the massive expansion of administrative rulemaking and of soft law, the Capital Markets Union agenda, the development of supervisory convergence as the means for organizing pan-EU supervision, and ESMA's role in EU financial markets governance. Its coverage extends from capital-raising and the Prospectus Regulation to financial market intermediation and the MiFID II/MiFIR and IFD/IFR regimes, to the new regulatory regimes adopted since the global financial crisis (including for benchmarks and their administrators), to retail market regulation and the PRIIPs Regulation, and on to the EU's third country regime and the implications of the UK's departure from the EU. This is the fourth edition of the highly successful and authoritative monograph first published as EC Securities Regulation. Heavily revised from the third edition to reflect developments since the global financial crisis, it adopts the in-depth contextual and analytical approach of earlier editions and so considers the market, political, institutional, and international context of the regulatory and supervisory regime.

International Policy Coordination and Exchange Rate Fluctuations

Author : William H. Branson,Jacob A. Frenkel,Morris Goldstein
Publisher : University of Chicago Press
Page : 396 pages
File Size : 49,9 Mb
Release : 2007-12-01
Category : Reference
ISBN : 9780226071381

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International Policy Coordination and Exchange Rate Fluctuations by William H. Branson,Jacob A. Frenkel,Morris Goldstein Pdf

Since the five largest industrial democracies concluded the Plaza Agreement in 1985, the theory and practice of international economic policy coordination has become the subject of spirited academic and public-policy debate. While some view policy coordination as crucial for the construction of an improved international monetary system, others fear that it risks delaying or weakening the implementation of macroeconomic and structural policies. In these papers and comments, prominent international economists consider past and present interpretations of the meaning of international policy coordination; conditions necessary for coordination to be beneficial both to the direct participants and the global economy; influential factors for the quantitative impact of coordination; obstacles to coordination; the most—and least—effective methods of coordination; and future directions of the coordination process, including processes associated with greater fixity of exchange rates. These studies will be readily accessible to policymakers, while offering sophisticated analyses to interested scholars of the global economy.

The Art of Credit Derivatives

Author : Joao Garcia,Serge Goossens
Publisher : John Wiley & Sons
Page : 302 pages
File Size : 55,5 Mb
Release : 2010-02-16
Category : Business & Economics
ISBN : 9780470684962

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The Art of Credit Derivatives by Joao Garcia,Serge Goossens Pdf

Credit derivatives have been instrumental in the recent increase in securitization activity. The complex nature and the size of the market have given rise to very complex counterparty credit risks. The Lehman failure has shown that these issues can paralyse the financial markets, and the need for detailed understanding has never been greater. The Art of Credit Derivatives shows practitioners how to put a framework in place which will support the securitization activity. By showing the models that support this activity and linking them with very practical examples, the authors show why a mind-shift within the quant community is needed - a move from simple modeling to a more hands on mindset where the modeler understands the trading implicitly. The book has been written in five parts, covering the modeling framework; single name corporate credit derivatives; multi name corporate credit derivatives; asset backed securities and dynamic credit portfolio management. Coverage includes: groundbreaking solutions to the inherent risks associated with investing in securitization instruments how to use the standardized credit indices as the most appropriate instruments in price discovery processes and why these indices are the essential tools for short term credit portfolio management why the dynamics of systemic correlation and the standardised credit indices are linked with leverage, and consequently the implications for liquidity and solvability of financial institutions how Lévy processes and long term memory processes are related to the understanding of economic activity why regulatory capital should be portfolio dependant and how to use stress tests and scenario analysis to model this how to put structured products in a mark-to market-environment, increasing transparency for accounting and compliance. This book will be invaluable reading for Credit Analysts, Quantitative Analysts, Credit Portfolio Managers, Academics and anyone interested in these complex yet important markets.