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Books in Financial economics

21-30 of 452 results in All results

Extending Financial Inclusion in Africa

  • 1st Edition
  • June 9, 2019
  • Daniel Makina
  • English
  • Paperback
    9 7 8 - 0 - 1 2 - 8 1 4 1 6 4 - 9
  • eBook
    9 7 8 - 0 - 1 2 - 8 1 4 2 0 3 - 5
Extending Financial Inclusion in Africa unveils the genesis and transformation of Africa’s financial sector and its ability to provide finance for all. Contributors of the Book traverse the whole spectrum of African financial systems, examining their depth and breadth and empirically evaluating their appropriateness and effectiveness to achieve inclusive financial services.

Contemporary Financial Intermediation

  • 4th Edition
  • April 17, 2019
  • Stuart I. Greenbaum + 2 more
  • English
  • Hardback
    9 7 8 - 0 - 1 2 - 4 0 5 2 0 8 - 6
  • eBook
    9 7 8 - 0 - 1 2 - 4 0 5 9 3 4 - 4
Contemporary Financial Intermediation, 4th Edition by Greenbaum, Thakor, and Boot continues to offer a distinctive approach to the study of financial markets and institutions by presenting an integrated portrait that puts information and economic reasoning at the core. Instead of primarily naming and describing markets, regulations, and institutions as is common, Contemporary Financial Intermediation explores the subtlety, plasticity and fragility of financial institutions and credit markets. In this new edition every chapter has been updated and pedagogical supplements have been enhanced. For the financial sector, the best preprofessional training explains the reasons why markets, institutions, and regulators evolve they do, why we suffer recurring financial crises occur and how we typically react to them. Our textbook demands more in terms of quantitative skills and analysis, but its ability to teach about the forces shaping the financial world is unmatched.

Exchange-Traded Funds in Europe

  • 1st Edition
  • March 15, 2019
  • Adam Marszk + 1 more
  • English
  • Paperback
    9 7 8 - 0 - 1 2 - 8 1 3 6 3 9 - 3
  • eBook
    9 7 8 - 0 - 1 2 - 8 1 3 6 4 0 - 9
Exchange-Traded Funds in Europe provides a single point of reference on a diverse set of regional ETF markets, illuminating the roles ETFs can play in risk mitigation and speculation. Combining empirical data with models and case studies, the authors use diffusion models and panel/country-specific regressions—as well as graphical and descriptive analyses— to show how ETFs are more than conventional, passive investments. With new insights on how ETFs can improve market efficiency and how investors can benefit when using them as investment tools, this book reveals the complexity of the world’s second largest ETF market and the ways that ETFs are transforming it.

Transforming Climate Finance and Green Investment with Blockchains

  • 1st Edition
  • June 21, 2018
  • Alastair Marke
  • English
  • Paperback
    9 7 8 - 0 - 1 2 - 8 1 4 4 4 7 - 3
  • eBook
    9 7 8 - 0 - 1 2 - 8 1 4 4 4 8 - 0
Transforming Climate Finance and Green Investment with Blockchains establishes and analyzes the connection between this revolutionary technology and global efforts to combat climate change. The benefits of blockchain come through various profound alterations, such as the adoption of smart contracts that are set to redefine governance and regulatory structures and transaction systems in coming decades. Each chapter contains a problem statement that describes the challenges blockchain technology can address. The book brings together original visions and insights from global members of the Blockchain Climate Institute, comprising thought leaders, financial professionals, international development practitioners, technology entrepreneurs, and more. This book will help readers understand blockchain technology and how it can facilitate the implementation of the Paris Agreement and accelerate the global transition to a green economy.

A Spiral Approach to Financial Mathematics

  • 1st Edition
  • June 15, 2018
  • Nathan Tintle + 2 more
  • English
  • Paperback
    9 7 8 - 0 - 1 2 - 8 0 1 5 8 0 - 3
  • eBook
    9 7 8 - 0 - 1 2 - 8 0 1 7 5 9 - 3
A Spiral Approach to Financial Mathematics lays a foundation of intuitive analysis of financial concepts early in the course, followed by a more detailed and nuanced treatment in later chapters. It introduces major financial concepts through real situations, integrates active learning, student focused explorations and examples with Excel spreadsheets and straightforward financial calculations. It is organized so sections can be read independently or through in-class guided-discovery activities and/or interactive lectures. Focusing on conceptual understanding to maximize comprehension and retention, using modern financial analysis tools and utilizing active learning, the book offers a modern approach that eliminates tedious and time-consuming calculations initially without underestimating the ability of readers.

Public-Private Partnerships for Infrastructure

  • 2nd Edition
  • May 29, 2018
  • E. R. Yescombe + 1 more
  • English
  • Hardback
    9 7 8 - 0 - 0 8 - 1 0 0 7 6 6 - 2
  • eBook
    9 7 8 - 0 - 0 8 - 1 0 0 7 6 7 - 9
Public-Private Partnerships for Infrastructure - Principles of Policy and Finance, Second Edition explains how public private partnerships are prepared, procured, financed, and managed from both the public- and private-sector perspectives. As the use of public private partnerships continues to develop world-wide, both in the area of public policy and private financing and contracting, the Second Edition of this leading textbook: Captures and explains the latest approaches, providing a comprehensive all-round guide for those on both the public- and private-sector sides of the table Emphasises a step-by-step approach within a comprehensive, cross-referenced format Includes clear explanations of PPP evaluation, structuring and financing concepts for the benefit of those new to the topic: no prior knowledge is assumed or required Provides detailed reference points for more experienced practitioners Draws from the authors’ experience and practice in  PPP markets worldwide to provide a perspective on practical application of the key underlying principles Includes an extensive glossary of technical and financial terms used in the PPP sector

Financial Trading and Investing

  • 2nd Edition
  • March 21, 2018
  • John L. Teall
  • English
  • eBook
    9 7 8 - 0 - 1 2 - 8 1 1 1 1 7 - 8
Financial Trading and Investing, Second Edition, delivers the most current information on trading and market microstructure for undergraduate and master’s students. Without demanding a background in econometrics, it explores alternative markets and highlights recent regulatory developments, implementations, institutions and debates. New explanations of controversial trading tactics (and blunders), such as high-frequency trading, dark liquidity pools, fat fingers, insider trading, and flash orders emphasize links between the history of financial regulation and events in financial markets. New sections on valuation and hedging techniques, particularly with respect to fixed income and derivatives markets, accompany updated regulatory information. In addition, new case studies and additional exercises are included on a website that has been revised, expanded and updated. Combining theory and application, the book provides the only up-to-date, practical beginner's introduction to today's investment tools and markets.

Market Insanity

  • 1st Edition
  • March 6, 2018
  • Michael Taillard
  • English
  • Paperback
    9 7 8 - 0 - 1 2 - 8 1 3 1 1 5 - 2
  • eBook
    9 7 8 - 0 - 1 2 - 8 1 3 1 1 6 - 9
Market Insanity: A Brief Guide to Diagnosing the Madness in the Stock Market is an engaging and accessible primer which applies modern behavioral finance to equity markets. It helps readers understand how logical investment decisions can be betrayed by what Taillard calls "the insanity," all those behavioral quirks which cause us to achieve less than optimal utility. The book describes how limited information, habit, the rules of the game, asymmetric information and ego blend together in potentially toxic ways in market environments, thus creating bubbles, stock runs, and more prosaically, even ‘normal’ equity prices. In addition, the book discusses the implications of these behaviors in-depth. In so doing, it helps the reader to not only predict the madness within equity markets, but also helps them develop solutions that address and mitigate outcomes.

Private Equity and Venture Capital in Europe

  • 2nd Edition
  • January 3, 2018
  • Stefano Caselli + 1 more
  • English
  • eBook
    9 7 8 - 0 - 1 2 - 8 1 2 2 5 5 - 6
Global financial markets might seem as if they increasingly resemble each other, but a lot of peculiar aspects qualify different markets with different levels of development. Private equity investors can take advantage of these variations. Structured to provide a taxonomy of the business, Private Equity and Venture Capital in Europe, Second Edition, introduces private equity and venture capital markets while presenting new information about the core of private equity: secondary markets, private debt, PPP within private equity, crowdfunding, venture philanthropy, impact investing, and more. Every chapter has been updated, and new data, cases, examples, sections, and chapters illuminate elements unique to the European model. With the help of new pedagogical materials, this Second Edition provides marketable insights about valuation and deal-making not available elsewhere.

Financing Entrepreneurship and Innovation in Emerging Markets

  • 1st Edition
  • November 13, 2017
  • Lourdes Casanova + 2 more
  • English
  • Hardback
    9 7 8 - 0 - 1 2 - 8 0 4 0 2 5 - 6
  • eBook
    9 7 8 - 0 - 1 2 - 8 0 4 0 2 6 - 3
Financing Entrepreneurship and Innovation in Emerging Markets offers an original perspective on the links between macro data on innovation, data on micro-entrepreneurial processes and venture capital supply. The authors synthesize two disparate fields of research and thinking—innovation and entrepreneurship and economics—to illuminate how domestic companies compete and the business environment in which entrepreneurial firms operate. Its broad scope and firm linkages between processes at different levels leapfrogs research topics. For those investigating entrepreneurship and innovation in the early stages of economic development, this book demonstrates how micro and macro foundations of productivity, and hence economic growth and development, are inextricably intertwined.