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Cisi Certificate - Unit 6 Syllabus Version 9

Cisi Certificate - Unit 6 Syllabus Version 9
Author: BPP Learning Media (Firm)
Publisher: BPP Publishing
Total Pages:
Release: 2011
Genre: Financial institutions
ISBN: 9780751793284

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Cisi Certificate - Unit 6 Syllabus Version 9

Cisi Certificate - Unit 6 Syllabus Version 9
Author: BPP Learning Media
Publisher: BPP Publishing
Total Pages:
Release: 2011
Genre: Financial institutions
ISBN: 9780751793215

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Cisi Certificate - Unit 7 Syllabus Version 11

Cisi Certificate - Unit 7 Syllabus Version 11
Author: BPP Learning Media (Firm)
Publisher: BPP Publishing
Total Pages:
Release: 2011
Genre: Derivative securities
ISBN: 9780751793291

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Derivatives

Derivatives
Author: Jiří Witzany
Publisher: Springer Nature
Total Pages: 381
Release: 2020-11-04
Genre: Business & Economics
ISBN: 3030517519

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This book helps students, researchers and quantitative finance practitioners to understand both basic and advanced topics in the valuation and modeling of financial and commodity derivatives, their institutional framework and risk management. It provides an overview of the new regulatory requirements such as Basel III, the Fundamental Review of the Trading Book (FRTB), Interest Rate Risk of the Banking Book (IRRBB), or the Internal Capital Assessment Process (ICAAP). The reader will also find a detailed treatment of counterparty credit risk, stochastic volatility estimation methods such as MCMC and Particle Filters, and the concepts of model-free volatility, VIX index definition and the related volatility trading. The book can also be used as a teaching material for university derivatives and financial engineering courses.


Analysing Financial Performance

Analysing Financial Performance
Author: Nic La Rosa
Publisher: Routledge
Total Pages: 153
Release: 2020-12-28
Genre: Business & Economics
ISBN: 1000319857

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Despite a plethora of techniques to analyse the financial performance of a business, there has been no single methodology that has been overwhelmingly preferred by users. This could be an indication that either the methods themselves are deficient or they are limited by other factors that are not easily overcome. Unlike the current offerings in the field, which focus on issues relating to business performance management or non-financial aspects (such as market efficiency, satisfaction and workforce productivity), this book offers a solution to a major gap in the literature and understanding for those seeking to measure, analyse and benchmark the financial performance of any organisation (for-profit, not-for-profit and government agencies). It clearly identifies why current techniques fail; proposes and evidences a solution that overcomes these issues by including two algorithms that can be combined, to solve this problem; and demonstrates the practical application of the technique to the benefit of users in order to pinpoint real performance levels and insights. One of the largest issues this book will help to overcome is the inability to compare the accounts of businesses/organisations from different countries that report in different currencies. This technique eliminates the need for currency translations and the issues that arise with that process. This book is an invaluable and practical guide to assist accounting and finance practitioners in measuring and comparing financial performance across firms with different business models, different accounting policies and different scales of operations.


Fundamentals of Financial Instruments

Fundamentals of Financial Instruments
Author: Sunil K. Parameswaran
Publisher: John Wiley & Sons
Total Pages: 577
Release: 2011-11-08
Genre: Business & Economics
ISBN: 0470824905

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The essential guide to financial instruments, logically presented Fundamentals of Financial Instruments deals with the global financial markets and the instruments in which they trade. While most books on finance tend to be heavily mathematical, this book emphasizes the concepts in a logical, sequential fashion, introducing mathematical concepts only at the relevant times. As a result, the reader gains conceptual clarity reinforced by just the right level of technical detail to ensure a comprehensive exposure to the skills needed in the financial world. Establishes a strong foundation for understanding global markets Acts as an invaluable resource for those considering a career in the financial markets Offers an accessible yet in-depth treatise on modern financial instruments Presents a logical navigational path for a typical student of finance who is attempting to come to terms with the intricacies of the subject Covering the fundamentals of various types of assets in a single volume, Fundamentals of Financial Instruments is a compact yet comprehensive one-stop reference for students and professionals in finance and economics.


The Structure and Regulation of Financial Markets

The Structure and Regulation of Financial Markets
Author: Peter D. Spencer
Publisher: OUP Oxford
Total Pages: 286
Release: 2000-10-12
Genre: Business & Economics
ISBN: 0191586862

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Aimed at advanced undergraduate and graduate students in economics, banking, and finance, this is a core textbook for the financial markets, institutions, and regulation option of courses in financial economics. It integrates modern theories of asymmetric information into the analysis of financial institutions, relating the theory to current developments. The text begins with an analysis of adverse selection in retail financial products like life assurance before looking at open capital markets where trades and prices provide information. It then progresses to the more complex areas of corporate governance and financial intermediation in which information is concealed or confidential and moral hazard and verification problems become important. These chapters study the various mechanisms that the financial markets have developed to allow investors to delegate the management of their assets to others. This analysis is used to show how regulation can reduce the risk of financial failure and how legal, accounting, and regulatory mechanisms can help shape a country's corporate and financial architecture. These difficult theoretical concepts are conveyed through the careful use of numerical illustrations and topical case studies. Each chapter ends with a set of exercises to test and reinforce students' comprehension of the material. Worked solutions are provided for the numerical exercises.


Understanding Financial Risk Management

Understanding Financial Risk Management
Author: Angelo Corelli
Publisher: Emerald Group Publishing
Total Pages: 605
Release: 2024-05-27
Genre: Business & Economics
ISBN: 1837532508

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Financial risk management is a topic of primary importance in financial markets. It is important to learn how to measure and control risk, how to be primed for the opportunity of compensative return, and how to avoid useless exposure.