This six-part series begins with a look at the proceedings of the international conference that focused on banking, finance and insurance. Volume II brings to light the theoretical concepts of the capital market, investor perceptions, inflation, etc. Volume III deals with corporate finance and the techniques, decision-making and its other aspects. Volume IV delves into the area of derivatives and risk management and addresses its many issues. Some of the techniques discussed here include Fuzzy all option value, Support Vector Regression and Value at Risk. Volume V addresses the problem of accountability to society by discussing the role of the financial reporting system, while Volume VI is an in-depth study on international finance and asset pricing.
Advances in Research in Business and Finance, 2005: Capital Markets (Volume I)
The present volume of ...
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