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VC01-239 Financial Technology and Disruptive Innovation in ASEAN
  Muhammad Anshari/ 9781522591832/ Price:US$ 195.00
The emergence of financial technology (FinTech)-related products is causing major disruptions in financial services that enable financial solutions and innovative business models resulting in the fusion of finance and smart mobile technology. As ASEAN is undergoing a paradigm shift from government-to-government (G2G) to community-to-community (C2C) relationships with the emphasis on integration and collaboration, the adoption of FinTech and its possible future directions needs to be studied further. Financial Technology and Disruptive Innovation in ASEAN provides an assortment of innovative research that explores the recent FinTech initiative in ASEAN with respect to its process, strategies, challenges, and outcomes and highlights new business models, products, and services that affect financial markets and institutions and the provision of financial services. While highlighting topics including blockchain technology, cloud computing, and mobile banking, this book is ideally designed for business executives, managers, entrepreneurs, financial and banking practitioners, policymakers, academicians, students, professionals, and researchers. Topics Covered The many academic areas covered in this publication include, but are not limited to: •Artificial Intelligence •Blockchain Technology •Cloud Computing •Consumer Management •Cryptocurrency •Cybersecurity •Digital Divide •Disruptive Innovation •E-Business •FinTech •Machine Learning •Mobile Banking
SC04-484 Investment Analytics in the Dawn of Artificial Intelligence
  Bernard Lee/ 9789814730457/ Price:US$ 48.00
VSC04-003 Routledge Companion to Real Estate Investment
  Bryan D. MacGregor/ 9781138020788/ Price:£ 130.00
Book Cover Real estate represents an increasingly significant global asset class and its distinctive characteristics must be understood by investors and researchers. The Routledge Companion to Real Estate Investment provides an authoritative overview of the real estate asset class. The Companion focuses on the current academic research and its relevance for practical applications. The book is divided into four parts, each containing specially written chapters by international experts in the relevant field. The contributors cover the institutional context for real estate investment, the main players in real estate investment, real estate appraisal and performance measurement, and real estate portfolios and risk management. This Companion provides a comprehensive reference for students, academics and professionals studying, researching and working in real estate investment, finance and economics.
VC02-765 Green Finance for Sustainable Global Growth
  Sang-Bing Tsai/ 9781522578086/ Price:US$ 215.00
Book Cover Businesses working under green finance models consider the potential environmental impact in investment and financing decisions and merge the potential return, risk, and cost correlated with environmental conditions into day-to-day financial business. Under this model, the ecological environment and sustainable development of society is observed and promoted. Green Finance for Sustainable Global Growth is an essential reference source that discusses emerging financial models that focus on sustainable development and environmental protection including developing trends in green finance, internet finance, and sustainable finance. Featuring research on topics such as competitive financing, supply chain management, and financial law, this book is ideally designed for accountants, financial managers, professionals, academicians, researchers, and students seeking coverage on the sustainable development of the finance industry. Topics Covered The many academic areas covered in this publication include, but are not limited to: •Big Data Analysis •Blockchain Analysis •Competitive Financing •Ecological Environment •Financial Law •High Innovation Activities •Internet Finance •Investment Examination •Potential Return •Supply Chain Management
VC01-242 Metaheuristic Approaches to Portfolio Optimization
  Jhuma Ray/ 9781522581031/ Price:US$ 205.00
Control of an impartial balance between risks and returns has become important for investors, and having a combination of financial instruments within a portfolio is an advantage. Portfolio management has thus become very important for reaching a resolution in high-risk investment opportunities and addressing the risk-reward tradeoff by maximizing returns and minimizing risks within a given investment period for a variety of assets. Metaheuristic Approaches to Portfolio Optimization is an essential reference source that examines the proper selection of financial instruments in a financial portfolio management scenario in terms of metaheuristic approaches. It also explores common measures used for the evaluation of risks/returns of portfolios in real-life situations. Featuring research on topics such as closed-end funds, asset allocation, and risk-return paradigm, this book is ideally designed for investors, financial professionals, money managers, accountants, students, professionals, and researchers. Topics Covered The many academic areas covered in this publication include, but are not limited to: •Active Portfolio Management •Asset Allocation •Black-Litterman Model •Closed-End Funds •Evolutionary Computation •Machine Learning •Open-End Funds •Risk-Return Paradigm •Simulated Annealing •Trade Volume
VC01-223 Maintaining Financial Stability in Times of Risk and Uncertainty
  Abhishek Behl/ 9781522572084/ Price:US$ 265.00
Book Cover Risks and uncertainties─market, financial, operational, social, humanitarian, environmental, and institutional─are the inherent realities of the modern world. Stock market crashes, demonetization of currency, and climate change constitute just a few examples that can adversely impact financial institutions across the globe. To mitigate these risks and avoid a financial crisis, a better understanding of how the economy responds to uncertainties is needed. Maintaining Financial Stability in Times of Risk and Uncertainty is an essential reference source that discusses how risks and uncertainties affect the financial stability and security of individuals and institutions, as well as probable solutions to mitigate risk and achieve financial resilience under uncertainty. Featuring research on topics such as financial fraud, insurance ombudsman, and Knightian uncertainty, this book is developed for researchers, academicians, policymakers, students, and scholars. Topics Covered The many academic areas covered in this publication include, but are not limited to: •60/40 Rule •Black Swan Events •Climate Change •Demonetization of Currency •Deposit Insurance •Direct and Indirect Subsidies •Financial Frauds •Fraud Analytics •Insurance Ombudsman •Knightian Uncertainty
SC04-484 Cryptocurrencies: A Primer on Digital Money
  Mark Grabowski/ 9780367192679/ Price:£ 45.00
SC04-484 The REGTECH Book: The Financial Technology Handbook for Investors, Entrepreneurs and Visionaries in Regulation
  Janos Barberis/ 9781119362142/ Price:US$ 39.95
SC04-481 Agricultural Risk Transfer: From Insurance to Reinsurance to Capital Markets
  Roman Marco Hohl/ 9781119345633/ Price:US$ 150.00
SC04-480 Using Computers in Banking
  / 9781984622792/ Price:US$ 75.00
Book Cover It is hard to imagine banks without technology. The book explains the role of computer in the banking sector. It further describes the need and importance for banks makes use of Micro Computers. This book provides a comprehensive look at the role of technology in banking, and the impact it will have in the coming years.
SC04-480 Financial Management: World Edition
  / 9781680947885/ Price:US$ 95.00
Book Cover The book highlights the modern, analytical approach to corporate finance decision-making. A core subject which provides unavoidable part of the overall business management. The book contains everything about finance from micro to macro level.
SC04-479 Student Guide to Personal Finance: Credit and Borrowing
  / 9781984623829/ Price:US$ 90.00
Book Cover Guides students on fundamental financial concepts and money management issues, including coverage of investment options, credit reports, and alternative loans. Explains how to negotiate loans, choose the least expensive credit card, manage credit accounts, clear credit and billing errors, and decide when and how to file for bankruptcy.
SC04-479 Student Guide to Personal Finance: Saving and Investing
  / 9781984623836/ Price:US$ 90.00
Book Cover Saving and investing is too important not to understand fully or to ignore; this book guides on the basic aspects of personal savings and investing with a balanced mix of mathematical rigor and economic intuition. Offers a plan for achieving financial security with such steps as establishing a budget, creating an emergency fund, setting financial goals, and diversifying portfolios.
SC04-479 Financial Management for non finanace Managers (Book with DVD)
  / 9781984623898/ Price:US$ 90.00
Book Cover This updated edition covers all the key aspects of financial management. The basic premise of this book is that non-financial managers need to understand enough about financial management to be successful in their day-to-day activities while not being smothered with details. The edition is revised and updated with the latest information and new chapters are added. This updated edition offers students real advice in navigating the ever-changing academic landscape.
SC04-479 Business Funding & Finances (Book with DVD)
  / 9781984624048/ Price:US$ 90.00
Book Cover This second edition provides a comprehensive picture of issues dealing with different sources of entrepreneurial finance and different issues with financing entrepreneurs. The edition is revised and updated with the latest information and new chapters are added. This updated edition offers students real advice in navigating the ever-changing academic landscape.
SC04-478 Reproducible Finance with R: Code Flows and Shiny Apps for Portfolio Analysis
  Jonathan K. Regenstein/ 9781138484030/ Price:£ 62.99
Career Guide: Real Estate
  / 9781984624413/ Price:US$ 65.00
Book Cover This updated guide provides a detailed explanation of real estate careers, including brokerage, property management, asset advisors, corporate real estate, mortgage bankers, investors and developers. With new and updated content, our Career Guide shows middle-school and high-school students how they can make the world a better place through a career in Real Estate.
Career Guide: Financial Advisor
  / 9781984624444/ Price:US$ 65.00
Book Cover This updated edition describes the various types and styles of financial planning, and provides advice on getting started and becoming a success in the field. With new and updated content, our Career Guide shows middle-school and high-school students how they can make the world a better place through a career as Financial Advisor.
Career Guide: Banking and Finance, 2nd Edition
  / 9781984624321/ Price:US$ 65.00
Book Cover This guide will help you gain valuable insights into how banks and financial institutions have had to alter the way they operate in the face of recent challenges, and what it means to you moving forward. This edition is revised and restructured with the latest topics. This updated edition offers students real advice in navigating the ever-changing academic landscape.
VSC04 The Routledge Handbook of Responsible Investment
  Tessa Hebb/ 9781138385795/ Price:£ 39.99
Book Cover The UN-supported Principles for Responsible Investment initiative has led to around a third of the world’s financial assets being managed with a commitment to invest in a way that considers environmental, social or governance (ESG) criteria. The responsible investment trend has increased dramatically since the global financial crisis, yet understanding of this field remains at an early stage. This handbook provides an atlas of current practice in the field of responsible investment. With a large global team of expert contributors, the book explores the impact of responsible investment on key financial actors ranging from mainstream asset managers to religious organizations. Offering students and researchers a comprehensive introduction to current scholarship and international structures in the expanding discipline of responsible investment, this handbook is vital reading across the fields of finance, economics and accounting.
VC01-195 Alternative Decision-Making Models for Financial Portfolio Management: Emerging Research and Opportunities
  Spaseski, Narela/ 9781522532590/ Price:US$ 175.00
Book Cover Economics is an integral aspect to every successful society, yet basic financial practices have gone unchanged for decades. Analyzing unconventional finance methods can provide new ways to ensure personal financial futures on an individual level, as well as boosting international economies. Alternative Decision-Making Models for Financial Portfolio Management: Emerging Research and Opportunities is an essential reference source that discusses methods and techniques that make financial administration more efficient for professionals in economic fields. Featuring relevant topics such as mean-variance portfolio theory, decision tree analysis, risk protection strategies, and asset-liability management, this publication is ideal for academicians, students, economists, and researchers that would like to stay current on new and innovative methods to transform the financial realm. Topics Covered •Asset-Liability Management •Decision Tree Analysis •Extreme Events Theory •Fractal Market Analysis •Mean-Variance Portfolio Theory •Numerical Illumination •Pattern Recognition •Risk Protection Strategies •Stock markets
SC04-483 Continuous-Time Asset Pricing Theory: A Martingale-Based Approach
  Robert A. Jarrow/ 9783319778204/ Price:EUR 66.99
SC04-483 Evaluating Country Risks for International Investments: Tools, Techniques and Applications
  Ephraim Clark/ 9789813224933/ Price:US$ 178.00
SC04-483 Personal Finance After 50 for Dummies
  Eric Tyson/ 9781119543633/ Price:US$ 22.99
SC04-479 Illustrated Handbook of Risk Management and Insurance.
  3G Editorial Board/ 9781680949650/ Price:US$ 180.00
Book Cover Offers the concept of risk and explains how to evaluate and manage it. Illustrates risk financing alternatives and examining the fundamental assumptions underlying insurance. The book has been designed for students, academics as well as practitioners, in particular finance specialists.
SC04-478 Coping with Disaster Risk Management in Northeast Asia: Economic and Financial Preparedness in China, Taiwan, Japan and South Korea
  Gregory Coutaz/ 9781787430945/ Price:£ 60.00
SC04-478 Compliance in Multinational Corporations: Business Risks in Bribery, Money Laundering, Terrorism Financing and Sanctions
  Fabian M. Teichmann/ 9781787568709/ Price:£ 40.00
SC04-478 Investment Behaviour: Towards an Individual-Centred Financial Policy in Developing Economies
  Arup Kumar Sarkar/ 9781787562806/ Price:£ 60.00
SC04-477 Innovations in Insurance, Risk- and Asset Management
  Kathrin Glau/ 9789813272552/ Price:US$ 158.00
SC04-476 Handbook of Finance and Development
  Thorsten Beck/ 9781785360503/ Price:£ 205.00
SC04-475 Private Equity Compliance: Analyzing Conflicts, Fees, and Risks
  Jason A. Scharfman/ 9781119479628/ Price:US$ 74.95
SC04-472 Financial Intermediation and the Functioning of Capital Markets.
  Tamir Agmon/ 9781334474156/ Price:US$ 7.97
SC04-472 Illustrated Dictionary of Business Finance.
  / 9781984600431/ Price:US$ 95.00
Book Cover This illustrated dictionary provides concise definitions and explanations of business finance terms together with state-of-the-art practical terms, presented in an easy-to-use, A-Z order with pictures and figures as well as examples are given to clarify the terms. A comprehensive guide to the numerous terms associated with, and used within, the field of business finance.
SC04-472 Social Media and Internet for Real Estate Agents and Realtors.
  / 9781680959376/ Price:US$ 75.00
SC04-472 Social Media and Internet for Financial Services Business.
  / 9781680956771/ Price:US$ 75.00
SC04-470 International Money and Finance: Theory, Evidence, Policy, and Institutions.
  Hong Yuh Ching/ 9781682513590/ Price:US$ 145.00
Book Cover The global financial environment is changing as a result of the globalization process, the growing role of transnational corporations and international debt crisis. Consequently, the aim of the book is the systematization and unification of the laws, conditions, principles, processes which are occurring in the global financial environment. This work provides an overview of the real world with respect to international finance. It explains not only how things look now but also where we have been and why things changed along the way. It describes current economic conditions and past trends with respect to the most critical international macroeconomic indicators.
SC04-470 Business Finance. (With DVD)
  3G Editorial Board/ 9781680947267/ Price:US$ 125.00
Book Cover Offers an introduction to financial decision-making, covering key areas of financial management ranging from objectives through to investment financing and dividend policy. The text is revised and updated with the latest information and new chapters are added. This updated edition offers students real advice in navigating the ever-changing academic landscape.
SC04-470 Managing Personal Finance. (With DVD)
  3G Editorial Board/ 9781680957327/ Price:US$ 125.00
Book Cover When managing personal finances, having a clear objective and knowledge about one's finances is an essential part of creating a workable plan that is right for you. This book updates you through major financial subject areas, such as budgeting, saving, getting out of debt, making timely investment choices, and planning for the future.
SC04-470 Microfinance Technology: Intermediate. (With DVD)
  3G Editorial Board/ 9781680947649/ Price:US$ 160.00
Book Cover It contains information to interact with clients in providing microfinance loan and other services for start-up/expansion of a small or micro enterprise. It also covers selecting potential area for microfinance operation, promoting microfinance products and other services, forming group of microfinance clients, facilitating center meeting, processing application for loans and other services, collecting dues, and updating financial records. This guide will be of valuable to students and Microfinance Loan Officer; or Microfinance Project Officer; or Microfinance Account Officer; or Microfinance Socio-Economic Officer.
SC04-481 Fraud Risk in Governmental and Not-For-Profit Organizations
  Lynda Dennis/ 9781119509134/ Price:US$ 84.95
SC04-475 Employment Relations in Financial Services: An Exploration of the Employee Experience After the Financial Crash.
  Gregor Gall/ 9781137395375/ Price:EUR 119.99
SC04-460 Financial Administration and Management.
  Phillips, Sarah/ 9781682512814/ Price:US$ 145.00
Book Cover Financial administration refers to that set of activities which are related to making available money to the various branches of an office, or an organization to enable it to carrying out its objectives. It is a vital part of business because it is concerned with an organization’s resources. This book narrows a significant gap between the theoretical and practical aspects of financial administrations, as it analyzes and synthesizes, simultaneously, the implication for financial administration theory and practice.
VSC04-001 The Routledge Handbook of Responsible Investment.
  Hebb, Tessa/ 9780415624510/ Price:£ 170.00
Book Cover The UN-supported Principles for Responsible Investment initiative has led to around a third of the world’s financial assets being managed with a commitment to invest in a way that considers environmental, social or governance (ESG) criteria. The responsible investment trend has increased dramatically since the global financial crisis, yet understanding of this field remains at an early stage. This handbook provides an atlas of current practice in the field of responsible investment. With a large global team of expert contributors, the book explores the impact of responsible investment on key financial actors ranging from mainstream asset managers to religious organizations. Offering students and researchers a comprehensive introduction to current scholarship and international structures in the expanding discipline of responsible investment, this handbook is vital reading across the fields of finance, economics and accounting.
VC01-161 Financial Market Regulations and Legal Challenges in South Asia
  Kashyap, Amit K./ 9781522500049/ Price:US$ 200.00
Book Cover South Asia has experienced a long period of robust economic growth. While many regulatory policies have helped usher in this prosperous growth, some markets have plateaued due to hardships such as the decline in foreign remittance and international credit lines, and a contraction of exports. To continue to grow, the nations in this region must begin to integrate into the globalized world economy. Financial Market Regulations and Legal Challenges in South Asia addresses the difficulties and challenges of the regulatory environment in South Asia. This research-based publication outlines the apparent issues and resolutions as these developing nations transition into global economic players. This book is an excellent resource for policy makers, researchers and students in the financial field, government officials, bankers, and financial market regulators. Topics Covered •Finance Reform •Financial Markets •Foreign Remittance •Globalization •International Trade •Regulatory Structure •South Asian Integration
VC01-148 Finance in Emerging Markets, 4-Vols/Set.
  Errunza, Vihang/ 9781138795846/ Price:£ 995.00
Book Cover To help advanced students and researchers make sense of a large—and rapidly growing—corpus of scholarship and practical thinking on the principles that underpin finance in emerging markets, and the many associated issues and controversies that this topic generates, Routledge announces Finance in Emerging Markets. A new addition to its acclaimed Critical Concepts in Finance series, this four-volume set is a ‘mini library’ that brings together the foundational and the very best cutting-edge research. The collection is edited by Vihang Errunza (McGill University, Canada), co-creator of the Emerging Markets Database, widely regarded as the most comprehensive source for information and guidance on emerging markets, and an adviser to the World Bank, the United Nations, national governments, and many investment-management companies. Furnished with a comprehensive introduction, newly written by the editor, which places the assembled materials in their historical and intellectual context, Finance in Emerging Markets is an essential collection, and is certain to be recognized as a vital one-stop resource for reference and research.
VC01-144 Financial Derivatives, 4-Vols/Set.
  Goldenberg, David H./ 9780415680301/ Price:£ 980.00
'Financial derivatives continue to play a major role in modern, market-based economies across the globe. The necessity to comprehend the economic rationales behind financial derivatives, as well as the purposes for which they were designed, has never been greater. This new four-volume collection from Routledge answers that need. David H. Goldenberg, a leading scholar in the field, has brought together the foundational and the very best cutting-edge contributions. The collection maps the existing body of thinking and helps users to make sense of the continuing explosion in scholarly output. Financial Derivatives is fully indexed and has a chronological table. It also includes detailed introductions for each of the four volumes, newly written by the editor, which places the material in its intellectual and historical context. These introductions collectively constitute 108 pages, guide the reader through the material, and provide an overview of the subject. They form a virtual textbook, making the series suitable for courses taught in Finance, Mathematical Finance, and Economics programs worldwide. Financial Derivatives is an essential work of reference and is destined to be valued by users both as a vital one-stop research and as a teaching resource.
SC04-464 Get Rich with Dividends: A Proven System for Earning Double-Digit Returns.
  Lichtenfeld, Marc/ 9781118994139/ Price:US$ 39.95
SC04-464 Finding Alphas: A Quantitative Approach to Building Trading Strategies.
  Tulchinsky, Igor/ 9781119057864/ Price:US$ 60.00
SC04-464 Business Risk and Simulation Modelling in Practice: Using Excel, VBA and @Risk.
  Rees, Michael/ 9781118904053/ Price:US$ 100.00
SC04-464 A Guide to Starting Your Hedge Fund.
  Berntsen, Erik S./ 9780470519400/ Price:US$ 150.00
SC04-464 Trading Psychology 2.0: From Best Practices to Best Processes.
  Steenbarger, Brett N./ 9781118936818/ Price:US$ 59.95
SC04-445 Liquidity Management: A Funding Risk Handbook.
  Soprano, Aldo/ 9781118413999/ Price:US$ 60.00
Encyclopedia of Financial Models
  Li Zhou/ 9781680950410/ Price:US$ 435.00
Book Cover In this encyclopedia we focus on financial models. It is the process by which a firm constructs a financial representation of some, or all, aspects of the firm or given security. The model is usually characterized by performing calculations, and makes recommendations based on that information.
Advanced Financial Modelling
  Li Zhou and/ 9781680950434/ Price:US$ 145.00
Book Cover In this book, we discuss advanced financial modeling. Financial modeling is the task of building an abstract representation of a real world financial situation. This is a mathematical model designed to represent the performance of a financial asset or portfolio of a business, project, or any other investment.
SC04-429 Redefining Business Models: Strategies for a Financialized World.
  Haslam, Colin/ 9780415679916/ Price:£ 40.99
SC04-427 Real Options, Ambiguity, Risk and Insurance: World Class University Program in Financial Engineering, Ajou University, Volume Two.
  Bensoussan, Alain/ 9781614992370/ Price:EUR 120.00
Book Cover Financial engineering has become the focus of widespread media attention as a result of the worldwide financial crisis of recent years. This book is the second in a series dealing with financial engineering from Ajou University in Korea. The main objective of the series is to disseminate recent developments and important issues in financial engineering to graduate students and researchers, and to provide surveys or pedagogical exposition of important published papers in a broad perspective, as well as analyses of important financial news concerning financial engineering research, practices or regulations. Real Options, Ambiguity, Risk and Insurance, comprises 12 chapters and is divided into three parts. In Part I, five chapters deal with real options analysis, which addresses the issue of investment decisions in complex, innovative or risky projects. Part II presents three chapters on ambiguity. The notion of ambiguity is one of the major breakthroughs in the expected utility theory; ambiguity arises as uncertainties cannot be precisely described in the probability space. Part III consists of four chapters devoted to risk and insurance, and covers mutual insurance for non-traded risks, downside risk management, and credit risk in fixed income markets.
SC04-427 Capital for the Future: Saving and Investment in an Interdependent World.
  The World Bank/ 9780821396353/ Price:US$ 35.00
Inside China's Shadow Banking: The Next Subprime Crisis.
  Zhang, Joe/ 9781623200176/ Price:US$ 15.95
Provides an overview of China’s Shadow Banking industry Reveals the secrets of microfinance in China Serves as a personal history of a leading figure in the banking worlds of China and the West Details the inner workings of a part of the financial world that may be the next economic crisis point
SC04-479 Foreign Direct Investment: Smart Approaches to Differentiation and Engagement
  Daniel Nicholls/ 9781409423577/ Price:£ 53.99
SC04-435 BIM for Building Owners and Developers: Making a Business Case for Using BIM on Projects.
  Reddy, K. P./ 9780470905982/ Price:US$ 84.95
SC04-433 Insurance Regulatory Information System (IRIS) Ratios Manual, 2012 Edition.
  / UIR-ZB-12/ Price:US$ 85.00
SC04-411 Growth without Crisis: China's Modern Financial System.
  Renmin University of China/ 9789814298322/ Price:US$ 148.00
This book establishes the concept of 30-year economic “crisis-free growth” in China, and explores the fiscal and financial reasons for success. It focuses on the relationship between economic growth, fiscal decentralization, local government behavior and taxation. In addition, this book examines the theory of the formation of RMB equilibrium exchange rate and identifies the political-economic mechanism of exchange rate reform as one of the main reasons for China’s economic growth.
VC14-131 Information Systems for Global Financial Markets: Emerging Developments and Effects.
  Yap, Alexander Y./ 9781613501627/ Price:US$ 185.00
Book Cover Financial markets around the world can affect each other in a matter of seconds as financial information systems are programmed to buy or sell stocks and financial derivatives automatically when activated by sudden changes in global market trends and conditions. Information Systems for Global Financial Markets: Emerging Developments and Effects offers focused research on the systems and technologies that provide intelligence and expertise to traders and investors and facilitate the agile ordering processes, networking, and regulation of global financial electronic markets. How these systems work to manipulate, move, and provide intelligence to the stock market is still a mystery to many students, and it is the intent of this book to provide real-world cases and examples that can unveil these systems to business students interested in financial trading, the dynamics of financial electronic markets, and the tactical technologies that facilitate the trading process and trading decisions. Topics Covered •Decision Support for Financial Trading Systems •Electronic Communication Networks (ECNs) •Electronic Trading Systems and SEC Rules and Regulations •Emerging Technologies for Financial Trading Systems •Intelligent Charting Systems •Knowledge Management for Finance and Investments •Mobile and Ubiquitous Financial Trading Systems •Online Brokerage Trading Systems •Supercomputers for Flash Trading •Technology as an Enabler of Financial Market Integration
SC04-411 New Trends in Financial Engineering: Works under the Auspices of the World Class University Program of Ajou University.
  Koo, Hyeng K./ 9781607508342/ Price:EUR 110.00
This book is the first in a series describing research by a multidisciplinary team of economists, mathematicians and control theorists exploring new research directions in financial engineering. It is broadly divided into three parts. The first part of the book reviews recent developments of real options; an application of the theory of financial options to capital investments with the emphasis on flexibility. Topics covered include the technique of variational inequalities, the use of forward and backward stochastic differential equations and the application of a real option approach to a consumption and portfolio selection problem. The second part of the book presents new topics, including simultaneous control of dividend payments and risk management, risk measures and non-linear probability models and a survey of recent studies on market microstructure. The last part of the volume proposes a new perspective.
SC04-400 Developmental Finance in China, 3-Vols/Set.
  China Development Bank/ 9789814298162/ Price:US$ 450.00
As a developing transitional economic entity, China is suffering under much constraint in its market system and infrastructure. In recent years, the China Development Bank has explored a road of development finance, featuring Chinese characteristics that unite government goals and market mechanisms. As a result, the China Development Bank and Renmin University of China jointly set up a project research team, who authored this three volume series.
SC04-433 Annual Report on Exchange Arrangements and Exchange Restrictions 2010.(With CD-ROM)
  International Monetary Fund/ 9781616350116/ Price:US$ 230.00
SC04-405 J.K. Lasser's Your Income Tax 2011, Professional Edition.
  Lasser, J. K./ 9780470597217/ Price:US$ 84.95
SC04-387 Risk Management in Financial Institutions: Formulating Value Propositions.
  van Grinsven, Jurgen H./ 9781607500872/ Price:EUR 50.00
Risk Managers are under pressure to compete in a competitive environment while solidly honouring their obligations and navigating their business safely toward the future. Paramount to their success is the ability to identify, formulate, assess and communicate value propositions to their stakeholders. This book presents valuable insights from principal researchers and practitioners from leading financial institutions. They provide many insightful ideas, concepts and methods to help shape or reshape value propositions.
SC04-392 Qfinance: The Ultimate Resource.
  / 9781849300001/ Price:£ 150.00
SC04-446 Key Management Ratios: The 100+ Rations Every Manager Needs to Know.
  Walsh, Ciaran/ 9780273719090/ Price:US$ 49.99
SC04-371 On the Rationality of Borrowers' Behaviour: Comparing Risk Attitudes of Homeowners.
  Neuteboom, Peter/ 9781586039189/ Price:EUR 50.00
On the Rationality of Borrowers’ Behaviour was prompted by two observations: first, mortgage take-up amongst homeowners was fairly divergent across Europe, and second, the fact that this was seen by academic researchers as well as policymakers and financial authorities as an indication of fundamental differences in the risk attitudes of homeowners. Although the time and depth of the cycles differed from one European country to another, mortgage markets have grown in size, expanded in product variation and improved borrowers’ accessibility to mortgage credit. However, this expanding range of mortgage opportunities significantly increases the search and information costs for a borrower, making it harder for him to find the mortgage with the most favourable cost-risk trade-off. Nonetheless, the research reveals that homeowners are still acting as rational customers, i.e. willing and able to choose the optimal mortgage. Meanwhile, the cross-country analysis in this study highlights the role of the institutions, household characteristics, and the structure of national mortgage markets as key elements in shaping the optimal mortgage for homeowners.
SC04-357 Tax Guide for Investment Advisors.
  Mott, John R./ 9780779813520/ Price:US$ 47.04
SC04-354 Correct Coding for Medicare, Compliance, and Reimbursement.(With CD-ROM)
  Frisch, Belinda/ 9781418015619/ Price:US$ 153.95
SC04-353 Shareholder Activism: Corporate Governance and Reforms in Korea.
  Rho, Han-Kyun/ 9781403991607/ Price:£ 84.00
SC04-353 Household Credit Usage: Personal Debt and Mortgages.
  Agarwal, Sumit/ 9781403983923/ Price:£ 82.00
SC04-347 Investor Engagement: Investors and Management Practice under Shareholder Value.
  Martin, Roderick/ 9780199202607/ Price:£ 45.00
WC046 創富與個人理財
  麥萃才/ 9789627707523/ Price:NT$ 775.00
VD05-40 Handbooks in Operations Research and Management Science, Simulation.
  Henderson, Shane/ 9780444514288/ Price:US$ 305.00
This Handbook is a collection of chapters on key issues in the design and analysis of computer simulation experiments on models of stochastic systems. The chapters are tightly focused and written by experts in each area. For the purpose of this volume ?simulation? refers to the analysis of stochastic processes through the generation of sample paths (realization) of the processes. Attention focuses on design and analysis issues and the goal of this volume is to survey the concepts, principles, tools and techniques that underlie the theory and practice of stochastic simulation design and analysis. Emphasis is placed on the ideas and methods that are likely to remain an intrinsic part of the foundation of the field for the foreseeable future. The chapters provide up-to-date references for both the simulation researcher and the advanced simulation user, but they do not constitute an introductory level ?how to? guide. Computer scientists, financial analysts, industrial engineers, management scientists, operations researchers and many other professionals use stochastic simulation to design, understand and improve communications, financial, manufacturing, logistics, and service systems. A theme that runs throughout these diverse applications is the need to evaluate system performance in the face of uncertainty, including uncertainty in user load, interest rates, demand for product, availability of goods, cost of transportation and equipment failures.
VC14-31 Handbook of Asset and Liability Management.
  Zenios, S.A./ 9780444508751/ Price:US$ 210.00
The Handbooks in Finance are intended to be a definitive source for comprehensive and accessible information in the field of finance. Each individual volume in the series presents an accurate self-contained survey of a sub-field of finance, suitable for use by finance and economics professors and lecturers, professional researchers, graduate students and as a teaching supplement. It is fitting that the series Handbooks in Finance devotes a handbook to Asset and Liability Management. Volume 1 contains chapters that lay the theoretical foundations and develop the methodologies essential for the development of asset and liability management models.
SC04-394 Traders, Guns and Money: Knowns and Unknowns in the Dazzling World of Derivatives.
  Das, Satyajit/ 9780273704744/ Price:US$ 29.99
SC04-417 Distressed Debt Analysis: Strategies for Speculative Investors.
  Moyer, Stephen G./ 9781932159189/ Price:US$ 119.95
The developments that have created these extraordinary investment opportunities have also created tremendous demand for professionals with experience and knowledge in the restructuring process. Distressed Debt Analysis: Strategies for Speculative Investors addresses the complete knowledge needs of investors and professionals in the burgeoning world of financially distressed companies. It is perfect for financial analysts, portfolio managers. bankruptcy departments of law firms, restructuring advisory groups, turnaround consulting firms, and reorganization and distressed securities departments of investment banks.
SC04-317 Advances in Financial Planning and Forecasting.
  Lee, Cheng F./ 9780965164344/ Price:US$ 75.00
VA05-119 Encyclopedia of Social Welfare History in North America.
  Herrick, John/ 9780761925842/ Price:£ 140.00
unique reference book that will provide users with basic information about the history of social welfare in North America, including Canada, Mexico, and the United States. Since many themes and issues are similar in the three nations, entries will provide comparative information about common as well as distinctive concerns and developments. Significant events, influential persons, legislation, social problems, and societal responses are described in detail. Editors include specialists in the social welfare history of each nation, and they have collaborated with scholars from a variety of academic disciplines to prepare entries of varying length addressing these issues. Included in each entry are suggestions for further reading that will guide readers to the rich resources available for learning about the history of North American social welfare. The encyclopedia also provides cross-references for important topics. This volume will be a unique reference tool for students at all levels, for teachers, and for libraries serving anyone with an interest in the history of North American social welfare.
SC04-371 Capital Campaigns from the Ground Up: How Nonprofits Can Have the Buildings of Their Dreams.
  Weinstein, Stanley/ 9780471220794/ Price:US$ 99.95
SC04-313 Federal Tax Handbook, 2005 Edition.
  / 9780781103244/ Price:US$ 59.50
The RIA Federal Tax Handbook is the most authoritative, accurate and easy-to-use paperback reference for day-to-day tax questions on 2004 and 2005 taxes. The 2005 edition of this essential tool is the most extensive ever - containing answers to hundreds of tax questions plus guidance on the latest tax topics and changes. Portable and easy-to-read, it provides comprehensive answers to questions on individual and corporate taxation, pension plans, IRAs, Roth IRAs, employee benefits, deductions, estate and gift taxes, and much more. With the Handbook on your shelf, answers to your tax questions are at your fingertips.
VC01-20 David Ricardo: Critical Responses, 4-Vols/Set.
  Peach, Terry/ 9780415181792/ Price:£ 1140.00
This four-volume set in the Critical Responses series brings together for the first time 19th Century responses to, and appreciations of, the work of David Ricardo. The collection covers the period from 1817, the year of publication of Ricardo's major work, The Principles of Political Economy and Taxation, to 1848, and represents the first and probably the liveliest period of Ricardo-criticism. The publication of John Stuart Mill's own Principles in 1848 marks an end to this period with the first great 'rehabilitation' of Ricardo following decades of searching criticism.
SC04-463 Trading and Exchanges Market Microstructure for Practitioners.
  Harris, Larry/ 9780195144703/ Price:US$ 130.00
SC04-362 High Probability Trading: Take the Steps to Become a Successful Trader.
  Link, Marcel/ 9780071381567/ Price:US$ 42.00
SC04-358 Wealth of Experience: Real Investors on What Works and What Doesn't.
  Clarke, Andrew S./ 9780471733911/ Price:US$ 14.95
SC04-326 Monetary Regimes and Inflation: History, Economic and Political Relationships.
  Bernholz, Peter/ 9781843761556/ Price:£ 79.00
VC01-28 Taxation: Critical Perspectives on the World Economy, 4-Vols/Set.
  James, Simon/ 9780415188005/ Price:£ 1005.00
Taxation, of one sort or another, can be traced back to the beginnings of civilization, indeed, it might be argued that taxes are the price of civilization. This set reprints classic articles on taxation such as Adam Smith's Canons of Taxation, alongside more contemporary articles on modern developments. Taking into account the strong revisionist trend emergent in the study of economic issues, a new introduction by the editor puts the collected articles into context. Volume I Part I: The Development of Taxation Part II: Tax Theory and Principles The Nature of a 'Good' Tax Efficiency Equity Optimal Taxation Part III: Taxation and the Political Process Central Government Fiscal Federalism Volume II Part IV: Tax Policy and Reform Tax Harmonisation Tax and the Environment Tax Hypothecation or 'Earmarking' Part V: Legal and Accounting Aspects Tax Simplification Taxpayer Rights Tax and Judicial Review Accounting Aspects Volume III Part VI: Tax Administration Compliance Evasion E-Commerce Volume IV Part VII: Types of Taxation Income Taxation Consumption Taxes Corporate and Business Taxation Taxation of Land Poll Taxes Part VIII: Taxation as an Academic Subject Tax Research Tax Education
SC04-424 Manias, Panics and Crashes: A History of Financial Crises.
  Kindleberger, Charles P./ 9780333970294/ Price:£ 32.00
SC04-372 Tax Policy and the Economy, Vol. 15.
  Poterba, James M./ 9780262661225/ Price:US$ 25.00
SC04-372 Tax Policy and the Economy, Vol. 14.
  Poterba, James M./ 9780262161916/ Price:US$ 58.00
SC04-340 F.I.A.S.C.O.: The Inside Story of a Wall Street Trader.
  Partnoy, Frank/ 9780140278798/ Price:US$ 17.00
SC04-332 Trade Policy Review, 1998 Edition. (1995-1997 Reports) (CD-ROM)
  / 9780890591000/ Price:US$ 85.00
SC04-372 Tax Policy and the Economy, Vol. 11.
  Poterba, James M./ 9780262661041/ Price:US$ 25.00
SC04-372 Tax Policy and the Economy, Vol. 10.
  Poterba, James M./ 9780262660983/ Price:US$ 25.00
SC04-372 Tax Policy and the Economy, Vol. 7.
  Poterba, James M./ 9780262660815/ Price:US$ 25.00
SC04-332 GATT BISD. (Basic Instruments and Selected Documents)(CD-ROM)
  / 9780890591017/ Price:US$ 500.00


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