This volume clearly explains both the concepts and practice of accounting for derivatives, the calculation of financial values and the role of accounting for derivatives in risk management. It will ensure you have the accounting skills you need to pr... [more]
Charles T Haskell shares his extensive expertise to guide you through pricing and negotiating a project finance deal with the model using advanced analysis and negotiation techniques, including due diligence of analysing the project's
ability to sup... [more]
Bank and Country Risk Analysis raises risk assessment training to a new level. Providing an authoritative self study training course, Bank and Country Risk Analysis takes you through the analytical process and evaluates the various models to do this.... [more]
A three volume professional coursebook for the ACI/Forex Pre-Diploma curriculum (Introduction to FX and Money Markets), plus additional subjects for advanced study. The workbooks cover the principal cash and derivative instruments - spot and forward ... [more]
With the increased risks involved in dealing with the global financial markets, banks and corporate companies are becoming more reliant on derivatives such as futures and options. Futures & Options is designed to give the reader a good intuitive unde... [more]
This is the second edition of the bestselling book. International Capital Markets is aimed at anyone seeking a broad yet expert understanding of the instruments and markets that make up the world's capital markets. The international capital markets h... [more]
In six detailed modules Investment Management provides a systematic guide to analysing and managing successful investments. Interest areas: portfolio management, technical analysis, equities, alternative investments, AIS, hedge funds.
Leasing covers both lessor and lessee perspectives, will teach the trainee the fundamental principles of leasing and explains the workings of the leasing industry. Interest areas: leasing, valuation, financial engineering, securitisation, securitizat... [more]
This volume examines risk structuring and allocation in key industry sectors: power, transportation/tollways, railways, airports, ports, mining, oil and gas, telecoms, satellites, water/waste water. The 5 other comprehensive modules detail: the princ... [more]
Securitisation 2nd edition ensures you have a complete grasp of the concepts and the practice of securitisation. In eight extensive modules, the authors provide an introduction to the terminology and conceptual issues of asset securitisation, examine... [more]
It is no longer enough for financiers and other parties to be expert in only one component of a trade finance deal.
This complete training course will provide you with a detailed understanding of how best to protect you and your clients' interests.
Treasury Risk Management has the basic concepts and products of risk management, It explains option pricing theory, the mechanics of the options market and trading strategies, including exchange-traded and over-the-counter currency options.