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Books in General financial markets

21-30 of 49 results in All results

Handbook of Key Global Financial Markets, Institutions, and Infrastructure

  • 1st Edition
  • November 27, 2012
  • Gerard Caprio
  • English
  • Hardback
    9 7 8 - 0 - 1 2 - 3 9 7 8 7 3 - 8
  • eBook
    9 7 8 - 0 - 1 2 - 4 0 5 8 9 8 - 9
Understanding twenty-first century global financial integration requires a two-part background. The Handbook of Key Global Financial Markets, Institutions, and Infrastructure begins its description of how we created a financially-intergrated world by first examining the history of financial globalization, from Roman practices and Ottoman finance to Chinese standards, the beginnings of corporate practices, and the advent of efforts to safeguard financial stability. It then describes the architecture itself by analyzing its parts, such as markets, institutions, and infrastructure. The contributions of sovereign funds, auditing regulation, loan markets, property rights, compensation practices, Islamic finance, and others to the global architecture are closely examined. For those seeking substantial, authoritative descriptions and summaries, this volume will replace books, journals, and other information sources with a single, easy-to-use reference work.

An Introduction to Trading in the Financial Markets: Global Markets, Risk, Compliance, and Regulation

  • 1st Edition
  • February 12, 2010
  • R. Tee Williams
  • English
  • eBook
    9 7 8 - 0 - 0 8 - 0 9 5 1 1 6 - 4
Succeeding in the financial markets requires a mastery of many disciplines. Mastery begins with understanding the actors, rules, and dynamics and the ways in which they interact. This volume, the last of a 4-volume series, presents a broad perspective on key subjects such as regulation and compliance, risk and ways to mitigate it, and the directions in which trading markets might evolve. Like its predecessors, it presents alternative versions of the future: will the sell side or buy side come to dominate, for example, and how might new technologies shape global markets? Mastery of the financial markets begins with its authoritative, heavily illustrated presentation.

Auction Theory

  • 2nd Edition
  • August 12, 2009
  • Vijay Krishna
  • English
  • Hardback
    9 7 8 - 0 - 1 2 - 3 7 4 5 0 7 - 1
  • eBook
    9 7 8 - 0 - 0 8 - 0 9 2 2 9 3 - 5
Auction Theory, Second Edition improves upon his 2002 bestseller with a new chapter on package and position auctions as well as end-of-chapter questions and chapter notes. Complete proofs and new material about collusion complement Krishna’s ability to reveal the basic facts of each theory in a style that is clear, concise, and easy to follow. With the addition of a solutions manual and other teaching aids, the 2e continues to serve as the doorway to relevant theory for most students doing empirical work on auctions.

Handbook of Financial Markets: Dynamics and Evolution

  • 1st Edition
  • January 14, 2009
  • Thorsten Hens + 1 more
  • English
  • Hardback
    9 7 8 - 0 - 1 2 - 3 7 4 2 5 8 - 2
  • eBook
    9 7 8 - 0 - 0 8 - 0 9 2 1 4 3 - 3
The models of portfolio selection and asset price dynamics in this volume seek to explain the market dynamics of asset prices. Presenting a range of analytical, empirical, and numerical techniques as well as several different modeling approaches, the authors depict the state of debate on the market selection hypothesis. By explicitly assuming the heterogeneity of investors, they present models that are descriptive and normative as well, making the volume useful for both finance theorists and financial practitioners.

The Future of the Financial Exchanges

  • 1st Edition
  • September 29, 2008
  • Herbie Skeete
  • English
  • Hardback
    9 7 8 - 0 - 1 2 - 3 7 4 4 2 1 - 0
  • eBook
    9 7 8 - 0 - 0 8 - 0 9 2 2 2 1 - 8
In May 2007, an extraordinary meeting took place in London's The Exchange Forum. Chief executives from many of the world's most important financial exchanges came together with senior executives from a wide array of global banking, trading, and investing firms, index providers, regulators, system suppliers, and key academics to discuss the rapidly changing business and technological environment in which exchanges function. The forum was an exclusive event, open only to the most senior-level individuals in the global exchanges community: those who run exchanges, who are clients of exchanges, who invest in exchanges, and who supply goods and services to exchanges.In presentations and panel discussions over two days, these experts explored the effect of shrinking margins as more instruments became exchange traded rather than OTC and the conflicts that creates. They shared what exchanges are doing today to respond to the challenges wrought by competition, globalization, and rapid technology advances. And they looked into the future and discussed the multi-asset, multi-currency, and multi-region trading that holds out the promise of future success.The book is based on the discussion and analysis that took place at this exclusive event that brought together leading exchange professionals, their customers, and suppliers from around the globe to share insights and experiences. It will provide an overview of the latest technological, regulatory, and market developments in the exchange industry and the common problems exchanges face; explain how these problems are being addressed; and present the consensus view from leading exchange professionals about how to move forward. Most significant, the ideas in the book will come directly from the worlds leading exchange professionals and customers.

Indian Financial Markets

  • 1st Edition
  • July 21, 2008
  • Ajay Shah + 2 more
  • English
  • Hardback
    9 7 8 - 0 - 1 2 - 3 7 4 2 5 1 - 3
  • eBook
    9 7 8 - 0 - 0 8 - 0 5 5 9 9 4 - 0
The whole world wants to invest in India. But how to do this successfully? Written by two Indian financial experts with a seasoned expert of the Chicago Mercantile Exchange, this book tells you the why and how of investing in India. It explains how India's financial markets work, discusses the amazing growth of the Indian economy, identifies growth drivers, uncovers areas of uncertainty and risk. It describes how each market works: private equity and IPOs, bonds, stocks, derivatives, commodities, real estate, currency. The authors include a discussion of capital controls in each section to address the needs of foreign investors. Learn about the the markets, the instruments, the participants, and the institutions governing trading, clearing, and settlement of transactions, as well as the legal and regulatory framework governing financial securities transactions.

A Behavioral Approach to Asset Pricing

  • 2nd Edition
  • May 19, 2008
  • Hersh Shefrin
  • English
  • Hardback
    9 7 8 - 0 - 1 2 - 3 7 4 3 5 6 - 5
  • eBook
    9 7 8 - 0 - 0 8 - 0 4 8 2 2 4 - 8
Behavioral finance is the study of how psychology affects financial decision making and financial markets. It is increasingly becoming the common way of understanding investor behavior and stock market activity. Incorporating the latest research and theory, Shefrin offers both a strong theory and efficient empirical tools that address derivatives, fixed income securities, mean-variance efficient portfolios, and the market portfolio. The book provides a series of examples to illustrate the theory.

Straight Through Processing for Financial Services

  • 1st Edition
  • November 12, 2007
  • Ayesha Khanna
  • English
  • eBook
    9 7 8 - 0 - 0 8 - 0 5 5 4 8 4 - 6
As economic and regulatory pressures drive financial institutions to seek efficiency gains by improving the quality of their trading processes and systems, firms are devoting increasing amounts of capital to maintaining their competitive edge. Straight-Through Processing (STP), which automates every step in the trading system, is the most effective way for firms to remain competitive. According to the Securities Industry Association, the US securities industry will spend $8 billion to implement STP initiatives, and 99% percent of this investment will be made in systems internal to the firm. Straight-Through Processing for Financial Services: The Complete Guide provides the knowledge and tools required by operations managers and systems architects to develop and implement STP processing systems that streamline business processes to maintain competitiveness in the market.

MDDL and the Quest for a Market Data Standard

  • 1st Edition
  • August 22, 2007
  • Martin Christopher Sexton
  • English
  • eBook
    9 7 8 - 0 - 0 8 - 0 5 5 1 7 7 - 7
The aim of this book is to provide an objective vendor independent assessment of the Market Data Definition Language (MDDL), the eXtensible Mark-up Language (XML) standard for market data. Assuming little previous knowledge of the standard, or of systems networking, the book identifies the challenges and significance of the standard, examines the business and market drivers and presents decision makers with a clear, concise and jargon free read. Technical material is set off so that Systems Analysts are provided with an explanation to the standard’s business terms, context and deep hierarchical structure thus enabling them to create MDDL compliant interfaces. In this way, the book confers the knowledge to enable business and technology professionals to converse comfortably regarding financial systems integration.

Electronic and Algorithmic Trading Technology

  • 1st Edition
  • June 20, 2007
  • Kendall Kim
  • English
  • Paperback
    9 7 8 - 0 - 1 2 - 3 7 2 4 9 1 - 5
  • eBook
    9 7 8 - 0 - 0 8 - 0 5 4 8 8 6 - 9
Electronic and algorithmic trading has become part of a mainstream response to buy-side traders’ need to move large blocks of shares with minimum market impact in today’s complex institutional trading environment. This book illustrates an overview of key providers in the marketplace. With electronic trading platforms becoming increasingly sophisticated, more cost effective measures handling larger order flow is becoming a reality. The higher reliance on electronic trading has had profound implications for vendors and users of information and trading products. Broker dealers providing solutions through their products are facing changes in their business models such as: relationships with sellside customers, relationships with buyside customers, the importance of broker neutrality, the role of direct market access, and the relationship with prime brokers. Electronic and Algorithmic Trading Technology: The Complete Guide is the ultimate guide to managers, institutional investors, broker dealers, and software vendors to better understand innovative technologies that can cut transaction costs, eliminate human error, boost trading efficiency and supplement productivity. As economic and regulatory pressures are driving financial institutions to seek efficiency gains by improving the quality of software systems, firms are devoting increasing amounts of financial and human capital to maintaining their competitive edge. This book is written to aid the management and development of IT systems for financial institutions. Although the book focuses on the securities industry, its solution framework can be applied to satisfy complex automation requirements within very different sectors of financial services – from payments and cash management, to insurance and securities. Electronic and Algorithmic Trading: The Complete Guide is geared toward all levels of technology, investment management and the financial service professionals responsible for developing and implementing cutting-edge technology. It outlines a complete framework for successfully building a software system that provides the functionalities required by the business model. It is revolutionary as the first guide to cover everything from the technologies to how to evaluate tools to best practices for IT management.