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Moorad Choudhry

    1 de enero de 1966

    Este autor profundiza en el intrincado funcionamiento de los mercados financieros y la banca institucional. Sus escritos ofrecen profundas perspectivas sobre los complejos mecanismos que rigen las finanzas globales, caracterizados por la precisión y la autoridad. Los lectores apreciarán la claridad con la que se explican los conceptos complejos. Este trabajo es esencial para cualquiera que busque navegar por el panorama financiero contemporáneo.

    Measuring and Controlling Interest Rate and Credit Risk
    Bond and Money Markets: Strategy, Trading, Analysis
    An Introduction to Repo Markets
    The Principles of Banking
    The Moorad Choudhry Anthology, + Website
    Bond and Money Markets
    • Bond and Money Markets

      • 1152 páginas
      • 41 horas de lectura

      "Bond and Money Markets" serves as a comprehensive reference for fixed income markets, suitable for both beginners and professionals. It covers a wide range of topics including bonds, derivatives, interest-rate risk, money markets, and portfolio management, blending accessible writing with advanced concepts.

      Bond and Money Markets
    • The Moorad Choudhry Anthology, + Website

      Past, Present and Future Principles of Banking and Finance

      • 1328 páginas
      • 47 horas de lectura

      Focusing on the essential principles of banking and finance, this guide explores the challenges posed by competition, strategic planning, regulatory frameworks, and the impact of the digital era. It offers insights into navigating the evolving financial landscape, making it a crucial resource for professionals looking to adapt and thrive in a rapidly changing environment.

      The Moorad Choudhry Anthology, + Website
    • Focusing on responsible bank stewardship, this book offers a thorough exploration of best practices in the banking sector. It delves into the ethical obligations of financial institutions, emphasizing the importance of transparency, accountability, and sustainable practices. By addressing contemporary challenges and proposing actionable solutions, it serves as a vital resource for banking professionals and policymakers committed to fostering trust and integrity in financial systems.

      The Principles of Banking
    • An Introduction to Repo Markets

      • 224 páginas
      • 8 horas de lectura

      The book explores the rapid growth of repo markets, highlighting their critical role in hedging short positions within capital and derivatives markets. It examines the establishment of repo markets across major global currencies and their expanding presence in developing currency markets, emphasizing their significance in modern financial systems.

      An Introduction to Repo Markets
    • "Bond and Money Markets: Strategy, Trading, Analysis" serves as both an introduction and an advanced reference for bond and money market professionals. It covers various instruments, risk analysis, portfolio management, and recent market developments, making it valuable for a wide range of finance practitioners and students.

      Bond and Money Markets: Strategy, Trading, Analysis
    • Focusing on risk management, this book offers insights into using derivatives to effectively manage interest rate and credit risks, particularly in mortgage-backed securities portfolios. It covers essential topics such as measuring yield curve risk, employing swaps and exchange-traded options, and utilizing TC options. Additionally, it provides strategies for assessing and controlling interest rate risks associated with bond portfolios and trading positions, making it a valuable resource for finance professionals.

      Measuring and Controlling Interest Rate and Credit Risk
    • The Handbook of European Fixed Income Markets is a comprehensive guide to the evolving European financial markets, covering fixed income instruments, derivatives, and institutions in both developed and emerging markets. It serves as an essential resource for investors, researchers, and finance professionals seeking in-depth knowledge of these markets.

      The Handbook of European Fixed Income Securities
    • Charlie erlebt ihren schlimmsten Albtraum. Gerade als es richtig gut für sie läuft und sie einen weiteren Vorschussscheck auf ihrer Bank einzahlen will, wird sie bei einem Überfall mit einer Menge ...

      Secret Life: Kein Geheimnis währt ewig