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Texas Instruments 081052 Ez-Spot Graphing Calculator Kit, 40 Aaa Battery, Advanced Statistics, Finance, Yellow, Pack Of 10

Texas Instruments 081052 Ez-Spot Graphing Calculator Kit, 40 Aaa Battery, Advanced Statistics, Finance, Yellow, Pack Of 10
$1,241.18

TI-84 Plus Graphing Calculator, each with a bright, easy-to-spot, school bus yellow back cover and slide case. Ideal for use by kids of grades 9 and up, each unit’s faceplate is inscribed with the words, "School Property". Set also includes 5 USB computer cables, 5 USB unit-to-unit cables, 1 owner’s manual, 40 AAA batteries, 1 product CD, poster and transparency. All the features of the TI-83 required for teaching algebra through calculus plus statistics and finance with enhanced capabilities are included. It’s keystroke-for-keystroke compatible and also offers three times the memory of the TI-83 Plus, more than twice the speed of the TI-83 Plus. The EZ Spot graphing calculator offers three times the memory, more than twice the speed and a higher contrast screen than the TI-83 Plus calculator. Features Color – Yellow Functions – Advanced Statistics, Finance Number of Batteries – 40 Pack – 10

Public Finance and Public Policy

Public Finance and Public Policy
$900.81

 When it first appeared, Jonathan Gruber’s Public Finance and Public Policy was the first textbook to truly reflect the way public finance issues were evaluated, implemented, and researched in the real world today.  Like no other text available, it enhanced its survey of essential, traditional topics with an emphasis on empirical work and coverage of transfer programs and social insurance. Coming in the wake of the 2008 financial crisis, the presidential election, the 2009 stimulus package, and ongoing debates over financial reform and health care reform—Gruber is the author of Massachusetts’ universal coverage plan—the new edition couldn’t be more timely.Thoroughly updated, Public Finance and Public Policy, Third Edition brings students up to date on the important debates that are dominating today’s policymaking, giving them the basic tools they need to understand fundamental public finance issues now and in the future.

Principles of Corporate Finance + Connect Plus (The Mcgraw-hill/Irwin Series in Finance, Insurance, and Real Estate)

Principles of Corporate Finance + Connect Plus (The Mcgraw-hill/Irwin Series in Finance, Insurance, and Real Estate)
$700.00

Principles of Corporate Finance is the worldwide leading text that describes the theory and practice of corporate finance. Throughout the book, the authors show how managers use financial theory to solve practical problems and as a way to respond to change by showing not just how, but why companies and management act as they do. This text is a valued reference for thousands of practicing financial managers. The Tenth Edition has been rewritten, refreshed, and fully updated to reflect the recent financial crisis and is now accompanied by Connect Finance, an exciting new homework management system.

Global Islamic Finance Report 2016: Islamic Financial Policy

Global Islamic Finance Report 2016: Islamic Financial Policy
$400.00

The Global Islamic Finance Report (GIFR) is a globally recognized and respected yearbook, providing an annual review and in-depth analysis of the state of affairs of the Islamic financial services industry. It is a means through which innovative ideas of the leading thinkers and practitioners are disseminated to the wider Islamic and conventional financial markets. GIFR 2016 focuses on Islamic financial policy, and is written by leading experts in the global Islamic financial services industry. It also features a global survey on the perceived needs for Islamic financial policy in countries where Islamic banking and finance are significant. The main feature of GIFR is the Islamic Finance Country Index (IFCI), which is a composite index used for ranking countries with respect to the state of Islamic banking and finance and their leadership role in the industry. The GIFR is a practical resource for industry practitioners, policy-making institutions, financial services think tanks, academic institutions and other research organisations seeking for thought leadership views on Islamic finance as well as a comprehensive overview of the latest global industry development. The previous six annual reports (2010-15) focused on Size and Growth of the Islamic Financial Services Industry; Regulation of Islamic Financial Services; Islamic Philanthropy and Social Responsibility; Islamic Finance and Halal Industry; Human Resources Development in Islamic Finance; and Leadership in Islamic Banking and Finance Industry.

Corporate Finance: A Focused Approach

Corporate Finance: A Focused Approach
$383.95

Focus on the financial concepts, skills, and technological applications that are most critical for MBA students in today’s workplace with Ehrhardt/Brigham’s CORPORATE FINANCE: A FOCUSED APPROACH, 4E. This lean text provides an in-depth treatment of all topics essential to corporate finance within a streamlined presentation that you can complete in a single semester. Your students review the latest financial developments — from the collapse of the sub-prime mortgage market to the financial and global economic crisis — as this edition shows them how to maximize a firm’s value in today’s changed world. Numerous recent examples illustrate the relevance of what students are learning, while Excel Tool Kits, "Build a Model" problems, and Mini-Case Spreadsheets help students master the many functions of Excel. Students even gain hands-on experience with the same tool Wall Street professionals use daily with new Thomson ONE-Business School Edition problems. Trust this book’s concise, focused presentation to clearly demonstrate how and why corporations make specific financial decisions.

International Project Finance: Law and Practice

International Project Finance: Law and Practice
$375.00

The second edition of this new authority on project financing continues to provide guidance on the legal and practical issues relevant to international projects. As well as addressing the basic principles which affect the structuring and documentation of project financing, the book also explains structural, legal and contractual differences between the various sectors such as transportation, telecommunication, infrastructure/Public Private Partnerships, conventional, renewable and nuclear power, mining, and oil and gas, the latter sector focus being new to this edition. The book considers the application of English and New York law in cross-border documentation and legal and practical matters associated with running financing projects in civil law jurisdictions. Different sources of funding are also examined, such as banking and international bond documentation, and Islamic financing practice, in particular the use of Murabaha financing techniques and with additional analysis in this edition of the growing sukuk (Islamic bond) market. This includes the legal and documentation issues arising from the use of such financing techniques and how they interact with each other from a legal and contractual perspective. Equally significant, the book provides analysis of project defaults and work-outs giving guidance on how to manage projects when these circumstances arise. which get into trouble. The book also contains extensive coverage of dispute resolution in international projects. Project finance is used worldwide to structure and finance natural resource and infrastructure projects and practitioners must have a thorough grasp of the underlying principles in context. This book addresses this need, providing detailed guidance on practical issues such as the identification and assessment of project risk with relevant documentation such as risk matrices and checklists covering both key project contracts and the major terms of a project financing aimed at providing practical

Financial Management: Theory & Practice (with Thomson ONE – Business School Edition 1-Year Printed Access Card) (MindTap Course List)

Financial Management: Theory & Practice (with Thomson ONE - Business School Edition 1-Year Printed Access Card) (MindTap Course List)
$371.95

The only text to strike a balance between solid financial theory and practical applications, Brigham/Ehrhardt’s FINANCIAL MANAGEMENT: THEORY AND PRACTICE, 14e gives you a thorough understanding of the essential concepts you need to develop and implement effective financial strategies. The book begins with a presentation of corporate finance fundamentals before progressing to discussions of specific techniques used to maximize the value of a firm. It also explores the recent financial and economic crises and the role of finance in the business world. With its relevant and engaging presentation, numerous examples, and emphasis on Excel usage, this text serves as a complete reference tool for you in your academic or business career. Each new copy of Brigham/Ehrhardt’s FINANCIAL MANAGEMENT: THEORY AND PRACTICE, 14e includes Thomson ONE Business School Edition, which gives you access to the same Thomson Reuters Financial database that business professionals use every day. It is also packed with additional learning solutions to help you to become First in Finance.

Corporate Governance and Coporate Finance:: A European Perspective

Corporate Governance and Coporate Finance:: A European Perspective
$330.06

Ruud. A.I. van Frederikslust, Associate Professor of Finance, Rotterdam School of Management, Erasmus University Rotterdam James S. Ang, Bank of America Eminent Scholar, Professor of Finance, College of Business, The Florida State University Sudi Sudarsanam, Professor of Finance & Corporate Control, School of Management, Cranfield University Ruud. A.I. van Frederikslust, Associate Professor of Finance, Rotterdam School of Management, Erasmus University Rotterdam. He joined Rotterdam School of Management as Associate Professor of Finance 1984 from the Inter-University Graduate School of Management, The Netherlands, where he was Associate Professor of Finance. He is author of the work Predictability of Corporate Failure (Kluwer Academic Publishers). And editor in chief of the volume of collection: Mergers & Acquisitions (in Dutch) and of the volume Corporate Restructuring and Recovery (in Dutch) (Reed Elsevier LexisNexis). He has participated in the organizations of leading conferences in Europe and the USA and presented there also numerous research papers at the conferences. He has published in leading journals like the Multinational Finance Journal and the Journal of Financial Transformation. He was a member of the Board of the European Finance Association. James S. Ang, Bank of America Eminent Scholar, Professor of Finance, College of Business, Florida State University. He joined the College of Business, of Florida State University as a Professor of Finance in 1998 from Barnett Bank Chair Professor of Finance, Florida State University. His main areas of research interest are amongst others, in corporate restructuring, corporate governance and control. He has published extensively in leading academic journals like Journal of Corporate Finance, Journal of Financial Economics, Journal of Finance, The Bell Journal of Economics, Journal of Financial and Quantitative Analysis, Journal of Money, Credit and Banking, and The Review of Economics and Statistics. And he is a

The End of Finance: Capital Market Inflation, Financial Derivatives and Pension Fund Capitalism (Routledge Frontiers of Political Economy)

The End of Finance: Capital Market Inflation, Financial Derivatives and Pension Fund Capitalism (Routledge Frontiers of Political Economy)
$314.50

Binding: Hardcover Author: Jan Toporowski Language: English Publication Date: 1999-12-10 Number of Pages: 180 Publisher: Routledge This Volume Develops An Original Critique Of The Belief That The Present Era Of Finance, Where Finance Markets Dominate Contemporary Capitalist Economies, Represents The Best Possible Way Of Organising Economic Affairs. In Fact, It Is Argued, The Ensuing Economic Instability And Inefficiency Create The Preconditions For The End Of The Dominance Of Finance. The End Of Finance Develops A Theory Of Capital Market Inflation Rooted In The Work Of Veblen, Kalecki, Keynes And Minsky, Demonstrating How It Disinclines Productive Activity On The Part Of Firms, Provides Only Short-Termconditions That Are Propitious For Privatisation And Distorts Monetary Policy In The Long-Term. The Author Examines The Role Ofpension Fund Schemes And Financial Derivatives In Transmitting Capital Market Inflation And Provides A Nuanced Analysis Of The Contradictory Role They Play In The Financial System. Capital Market Inflation Is Also Examined In Its Historical Context And Compared With Past Inflations, In Particular The South Sea And Mississippi Bubbles, Which Spawned The First Financial Derivatives, And The First Privatisations. This Broad Historical Vision Allows Us To See These Forms Of Inflation As Temporary And Provisional In Character.

Corporate Finance

Corporate Finance
$299.92

Corporate Finance, by Ross, Westerfield, and Jaffe emphasizes the modern fundamentals of the theory of finance, while providing contemporary examples to make the theory come to life. The authors aim to present corporate finance as the working of a small number of integrated and powerful intuitions, rather than a collection of unrelated topics. They develop the central concepts of modern finance: arbitrage, net present value, efficient markets, agency theory, options, and the trade-off between risk and return, and use them to explain corporate finance with a balance of theory and application. The Tenth Edition includes many exciting new research findings as well as an enhanced Connect Finance, now with even more student learning resources. Connect is the only integrated learning system that empowers students by continuously adapting to deliver precisely what they need, when they need it, and how they need it, so that your class time is more engaging and effective.

Fundamentals of Corporate Finance (2nd Edition)

Fundamentals of Corporate Finance (2nd Edition)
$299.00

The core concepts you expect. The new ideas you want. The pedagogy you need to succeed. Fundamentals of Corporate Finance’s applied perspective cements understanding of the modern-day core principles by equipping students with a problem-solving methodology and profiling real-life financial management practices—all within a clear valuation framework. The second edition focuses on new topics and includes an increased emphasis on valuation.

Public Finance and Public Policy: Responsibilities and Limitations of Government

Public Finance and Public Policy: Responsibilities and Limitations of Government
$296.50

Binding: Hardcover Author: Arye L. Hillman Language: English Publication Date: 2009-04-06 Number of Pages: 872 Publisher: Cambridge University Press This Book Is The Second Edition Of Public Finance And Public Policy (2003). The Second Edition Retains The First Edition’S Themes Of Investigation Of Responsibilities And Limitations Of Government. The Present Edition Has Been Rewritten And Restructured. Public Choice And Political Economy Concepts And Political And Bureaucratic Principal-Agent Problems Are Introduced At The Beginning For Application To Later Topics. Fairness, Envy, Hyperbolic Discounting, And Other Concepts Of Behavioral Economics Are Integrated Throughout. The Consequences Of Asymmetric Information And The Tradeoff Between Efficiency And Ex-Post Equality Are Recurring Themes. Key Themes Investigated Are Markets And Governments, Institutions And Governance, Public Goods, Public Finance For Public Goods, Market Corrections (Externalities And Paternalist Public Policies), Voting, Social Justice, Entitlements And Equality Of Opportunity, Choice Of Taxation, And The Need For Government. The Purpose Of The Book Is To Provide An Accessible Introduction To The Use Of Public Finance And Public Policy To Improve On Market Outcomes.

Corporate Finance (2nd Edition)

Corporate Finance (2nd Edition)
$289.80

For MBA/graduate students taking a course in corporate finance. Using the unifying valuation framework based on the Law of One Price, top researchers Jonathan Berk and Peter DeMarzo set the new standard for corporate finance textbooks. Corporate Finance blends coverage of time-tested principles and the latest advancements with the practical perspective of the financial manager. With this ideal melding of the core with modern topics, innovation with proven pedagogy, Berk and DeMarzo establish the new canon in finance. The second edition reflects the constantly changing world of finance, including information on the financial crisis of 2007, new behavioral finance research, and updated practitioner interviews.    For programs and professors who would like a streamlined book that is specifically tailored to the topics covered in the first one-semester course, Corporate Finance: The Core 2nd edition is also available by Jonathan Berk and Peter DeMarzo.

Principles of Finance

Principles of Finance
$275.95

The first course in finance for finance and business majors has traditionally focused solely on managerial (or corporate) finance. Now, many schools are indicating a need to introduce these students – particularly the non-finance business majors – to the other two major components of finance – institutions and investments – in this first course but at the same level of rigor as traditional financial management texts. With PRINCIPLES OF FINANCE, Scott Besley and Gene Brigham begin with a discussion of the principles of financial systems and business organizations, and move on to valuation concepts and corporate decision making (managerial finance). They conclude with coverage of investment fundamentals. Key chapters may be covered in a one-term course or supplemented with cases and outside readings for a two-term course. Chapters are written in a flexible, modular format, allowing instructors to cover the material in their favorite sequence.

Principles of Managerial Finance [With Myfinancelab]

Principles of Managerial Finance [With Myfinancelab]
$243.33

Gitman’s proven Learning Goal System-a hallmark feature of Principles of Managerial Finance-weaves pedagogy into concepts and practice, providing readers with a road map to guide them through the text and supplementary tools. The Twelfth Edition now includes an emphasis on personal finance issues to add currency and relevance to the already cohesive learning framework. Introduction to Managerial Finance: The Role and Environment of Managerial Finance; Financial Statements and Analysis; Cash Flow and Financial Planning. Important Financial Concepts: Time Value of Money; Risk and Return; Interest Rates and Bond Valuation; Stock Valuation. Long-Term Investment Decisions: Capital Budgeting Cash Flows; Capital Budgeting Techniques; Risk and Refinements in Capital Budgeting. Long-Term Financial Decisions: The Cost of Capital; Leverage and Capital Structure; Dividend Policy. Short-Term Financial Decisions: Working Capital and Current Asset Management; Current Liabilities Management. Special Topics in Managerial Finance: Hybrid and Derivative Securities; Mergers, LBOs, Divestitures, and Business Failure; International Financial Management; Financial Institutions and Markets. For all readers interested in managerial finance.

The Oxford Handbook of the Sociology of Finance

The Oxford Handbook of the Sociology of Finance
$242.25

Recent years have seen a surge of interest in the workings of financial institutions and financial markets beyond the discipline of economics, which has been accelerated by the financial crisis of the early twenty-first century. The Oxford Handbook of the Sociology of Finance brings together twenty-nine chapters, written by scholars of international repute from Europe, North America, and Asia, to provide comprehensive coverage on a variety of topics related to the role of finance in a globalized world, and its historical development. Topics include global institutions of modern finance, types of actors involved in financial transactions and supporting technologies, mortgage markets, rating agencies, and the role of financial economics. Particular attention is given to financial crises, which are discussed in a special section, as well as to alternative forms of finance, including Islamic finance and the rise of China. The Handbook will be an indispensable tool for academics, researchers, and students of contemporary finance and economic sociology, and will serve as a reference point for the expanding international community of scholars researching these areas from a broadly-defined sociological perspective.

Principles of Project and Infrastructure Finance

Principles of Project and Infrastructure Finance
$239.50

Binding: Hardcover Author: Willie Tan Language: English Publication Date: 2007-06-27 Number of Pages: 296 Publisher: Routledge Current Books On Project Finance Tend To Be Non-Technical And Are Either Procedural Or Rely Heavily On Case Studies. In Contrast, This Textbook Provides A More Analytical Perspective, Without A Loss Of Pragmatism. Principles Of Project And Infrastructure Finance Is Written For Senior Undergraduates, Graduate Students And Practitioners Who Wish To Know How Major Projects, Such As Residential And Infrastructural Developments, Are Financed. The Approach Is Intuitive, Yet Rigorous, Making The Book Highly Readable. Case Studies Are Used To Illustrate Integration As Well As To Underscore The Pragmatic Slant.

Corporate Finance and Governance in Stakeholder Society: Beyond shareholder capitalism

Corporate Finance and Governance in Stakeholder Society: Beyond shareholder capitalism
$229.50

Binding: Hardcover Author: Shinichi Hirota Language: English Publication Date: 2015-02-25 Number of Pages: 294 Publisher: Routledge This Book Develops A New Framework – The Stakeholder Model – That Helps To Understand Corporate Finance And Governance In Modern Society, Where The Sources Of People’S Happiness Have Shifted From Monetary To Non-Monetary Factors. The Book Takes A More Comprehensive Approach Than Is Typically Found In The Standard Economics And Finance Literature, By Explicitly Incorporating Both The Monetary And Non-Monetary Interests Of Stakeholders And By Examining The Value Creation Of Corporations From A Much Broader Perspective. Specifically, The Book Addresses Contemporary Issues Concerning Corporate Finance And Governance Worldwide, Including: How Should We Define Corporate Value In Stakeholder Society What Is The Role Of Modern Corporations What Are The Principles Underlying Corporate Financing Decisions To What Extent Should Shareholder Rights Be Enhanced What Determines The Effectiveness Of A Company’S Board Of Directors What Missions Do Firms Set Out And What Is The Role Of Mission Statements How Can We Understand The Diversity Of Financial And Governance Systems Among Different Countries What Legal And Institutional Reforms Enhance Or Diminish Corporate Value In Stakeholder Society The Book Will Answer These Questions Theoretically And Empirically.


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