Buch, Englisch, 406 Seiten, Paperback, Format (B × H): 170 mm x 240 mm, Gewicht: 810 g
Reihe: Business & economics
Investments, Corporate Finance, and Financial Institutions
Buch, Englisch, 406 Seiten, Paperback, Format (B × H): 170 mm x 240 mm, Gewicht: 810 g
Reihe: Business & economics
ISBN: 978-3-11-070534-8
Verlag: De Gruyter
- Part II: "Investments and Portfolio Management" discusses the characteristics of stocks and bonds, how securities are valued, the operations of securities markets, formation of optimal portfolios, and derivatives.
- Part III: "Financial Management/Corporate Finance" explores financial planning, asset management, and fund-raising activities that will enhance a firm’s value.
- Part IV: "Management of Financial Institutions" focuses on management of financial institutions in general, and risk management in financial institutions in particular.
The book’s many examples, appendices, graphs and tables provide valuable know-how to a wide audience, making it an excellent resource for professionals as well as students who wish to attain a broad understanding of finance. Please contact Stefan.Giesen@degruyter.com to request additional instructional material comprising a chapter-wise listing of questions and answers.