This volume considers issues on the management of foreign debt, and the macroeconomic policies that developing countries should pursue. It looks at a variety of the aspects of this subject, such as…
Traces the development of financial relations between Japan and the United Kingdom since 1859. It also examines the re-emergence of London as a major financial centre in 1946, and the emergence of …
In Understanding Islamic Finance Muhammad Ayub introduces all the essential elements of this growing market by providing an in-depth background to the subject and clear descriptions of all the majo…
Presents a rigorous and balanced presentation of international financial markets and international corporate finance. Takes a unified approach based on arbitrage-fee pricing. Includes an in-depth d…
In this analysis, Shelton calls for a unified international monetary regime--a new Bretton Woods--to lay the foundation for worldwide stability and prosperity in the post-Cold War era. Despite worl…
This new and unique book demonstrates that Excel and VBA can play an important role in the explanation and implementation of numerical methods across finance. Advanced Modelling in Finance provides…
Active Investment Management looks at where active management has come from, where it is today, what problems it faces and where the answers to these questions are leading it. The book addresses th…
In this fully updated edition, Murphy provides a new chapter on the Internet and the World Wide Web and offers cogent analysis of how high-tech investing has been affected by the economic turmoil i…
Provides state-of-the-art strategies, that confront investment opportunities, risk controls and regulatory requirements in the financial markets. This book is useful for financial managers, investo…
A comprehensive and innovative look at how to protect financial institutions from operational risks Operational risk is the risk associated with human error, systems failures, and inadequate con…