Waardering. Over het meten en managen van de waarde van ondernemingen
De boodschap in dit boek is eenvoudig: ondernemingen bloeien wanneer ze reële economische waarde voor hun aandeelhouders genereren. Dit is zowel van toepassing op gevestigde productieondernemingen als nieuwe internetbedrijven.
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Risk management is one of the most critical areas in investment and finance–especially in today′s volatile trading environment. With Risk Management: Framework, Methods, and Practice you′ll learn about risk management across industries through firsthand, real life war stories rather than mathematical formulas. Meer
With investors flocking to Wall Street in an attempt to beat today′s turbulent market, Fabozzi and Grant show you how to stay focused and create a solid equity portfolio in Equity Management. Meer
This authoritative, all–in–one resource gathers some of the most highly respected practitioners to discuss ways to manage an investment portfolio in today′s volatile market environment. Meer
Stable value investments can be a crucial aspect of any financial manager′s portfolio decisions–yet few books provide in–depth coverage of issues concerning their management, underwriting, and pricing. Meer
Finance professionals will welcome Frank Fabozzi′s Handbook of Structured Finance Products. This one–of–a–kind guide helps you stay on top of continuing developments in the U. Meer
The bank loan market has increased dramatically in recent years and is now viewed by some as a distinct asset class. This comprehensive book covers the structure of the market, secondary market in trading practices, and how to manage a bank loan portfolio. Meer
Mortgage–backed securities are becoming an increasingly popular tool for constructing a solid portfolio in today′s turbulent market. Frank Fabozzi leads more than a dozen experts in examining all the latest trends of this investment strategy, providing in–depth insight and explaining key areas of the commercial mortgage–backed securities landscape. Meer
Investment Management for Insurers details all phases of the investment management process for insurers as well as fixed income instruments and derivatives and state–of–the–art analytical tools for valuing securities and measuring risk. Meer
The Handbook of Commercial Mortgage–Backed Securities is a cornerstone reference in this emerging sector of the structured finance market. This Second Edition provides updated coverage of the market, the instruments, the tools used to assess these securities, and tax accounting issues. Meer
Issuer Perspectives on Securitization provides insight into the basics of securitization as well as more advanced techniques such as nontraditional asset–backed securities, transactional due diligence, and accounting rules and techniques. Meer
Gary Gastineau and Mark Kritzman team up once again for the third edition of this classic reference tool designed for financial analysts and managers. Meer
Equity Flex Options is a practical guide showing how E–FLEX options can reduce the market impact of the sale or purchase of a large block of stock, repurchase stock for the account of its corporate issuer, and help manage potential risk. Meer
Financial statements capture and report on four key business activities: planning, financing, investing, and operating activities. To intelligently understand, analyze, and interpret financial statements you must look for the right information, know where to locate it, and then act swiftly on the findings. Meer
Financial experts Chuck Ramsey and Frank Ramirez join Frank Fabozzi for the third edition of Collateralized Mortgage Obligations: Structure & Analysis. Meer
Duration, Convexity and other Bond Risk Measures offers the most comprehensive coverage of bond risk measures available. Financial expert Frank Fabozzi walks you through every aspect of bond risk measures from the price volatility characteristics of option–free bonds and bonds with embedded options to the proper method for calculating duration and convexity. Meer
Floating–Rate Securities is the only complete resource on "floaters" that fills the information void surrounding these complex securities. It explains the basics of floating rate securities, how to value them, techniques to compute spread measures for relative value analysis, and much more. Meer
Frank Fabozzi and Chuck Ramsey update their treatise on nonagency mortgage backed securities in this third edition of The Handbook of Nonagency Mortgage Backed Securities. Meer
Derivatives and credit derivatives have emerged as significant areas of interest in portfolio planning and risk management. In this book, Mark Anson examines the accounting and taxation implications of these instruments, including the new accounting rules for derivative instruments promulgated by the financial Accounting Standards in the United States, the Accounting Standards Board in Great Britain, and the International Accounting Standards Committee. Meer
How the Stock Markets Work has long been an established favourite for anyone who needs a straightforward, accessible introduction to the stock markets. Meer
In 1952, Harry Markowitz published "Portfolio Selection," a paper which revolutionized modern investment theory and practice. The paper proposed that, in selecting investments, the investor should consider both expected return and variability of return on the portfolio as a whole. Meer
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