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Financial Lexicon

Financial Lexicon PDF Author: E. Banks
Publisher: Springer
ISBN: 023050812X
Category : Business & Economics
Languages : en
Pages : 398

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Book Description
Financial Lexicon is intended as a comprehensive financial reference book that explains the formal and informal terminology of finance. Structured as a dictionary, the book will contain clear and detailed explanations of common banking, finance and investment terms. Unlike other textbooks, which focus solely on standard definitions, Financial Lexicon will include formal corporate business terms alongside the jargon that has entered business life. Terms defined in TFL will be drawn from all of the major sectors in the international capital markets and the financial industry.

Financial Lexicon

Financial Lexicon PDF Author: E. Banks
Publisher: Springer
ISBN: 023050812X
Category : Business & Economics
Languages : en
Pages : 398

View

Book Description
Financial Lexicon is intended as a comprehensive financial reference book that explains the formal and informal terminology of finance. Structured as a dictionary, the book will contain clear and detailed explanations of common banking, finance and investment terms. Unlike other textbooks, which focus solely on standard definitions, Financial Lexicon will include formal corporate business terms alongside the jargon that has entered business life. Terms defined in TFL will be drawn from all of the major sectors in the international capital markets and the financial industry.

The Origins of Modern Financial Crime

The Origins of Modern Financial Crime PDF Author: Sarah Wilson
Publisher: Routledge
ISBN: 1136237720
Category : Law
Languages : en
Pages : 270

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Book Description
The recent global financial crisis has been characterised as a turning point in the way we respond to financial crime. Focusing on this change and ‘crime in the commercial sphere’, this text considers the legal and economic dimensions of financial crime and its significance in societal consciousness in twenty-first century Britain. Considering how strongly criminal enforcement specifically features in identifying the post-crisis years as a ‘turning point’, it argues that nineteenth-century encounters with financial crime were transformative for contemporary British societal perceptions of ‘crime’ and its perpetrators, and have lasting resonance for legal responses and societal reactions today. The analysis in this text focuses primarily on how Victorian society perceived and responded to crime and its perpetrators, with its reactions to financial crime specifically couched within this. It is proposed that examining how financial misconduct became recognised as crime during Victorian times makes this an important contribution to nineteenth-century history. Beyond this, the analysis underlines that a historical perspective is essential for comprehending current issues raised by the ‘fight’ against financial crime, represented and analysed in law and criminology as matters of enormous intellectual and practical significance, even helping to illuminate the benefits and potential pitfalls which can be encountered in current moves for extending the reach of criminal liability for financial misconduct. Sarah Wilson’s text on this highly topical issue will be essential reading for criminologists, legal scholars and historians alike. It will also be of great interest to the general reader. The Origins of Modern Financial Crime was short-listed for the Wadsworth Prize 2015.

Harriman's Financial Dictionary

Harriman's Financial Dictionary PDF Author: Simon Briscoe
Publisher: Harriman House Limited
ISBN: 1897597746
Category : Business & Economics
Languages : en
Pages : 348

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Book Description
A comprehensive dictionary focusing on financial and investment terminology. An essential reference work for anyone working in the City or related industries. More than 2,600 essential financial terms and acronyms covering the stock, options, futures and capital markets, as well as personal finance. Based on the popular website, www.Finance-Glossary.com. The majority of terms are cross-referenced and any relevant URLs are also provided. Edited by two highly experienced financial writers.

The Devil's Financial Dictionary

The Devil's Financial Dictionary PDF Author: Jason Zweig
Publisher: Hachette UK
ISBN: 1610396065
Category : Business & Economics
Languages : en
Pages : 256

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Book Description
Your Survival Guide to the Hades of Wall Street The Devil's Financial Dictionary skewers the plutocrats and bureaucrats who gave us exploding mortgages, freakish risks, and banks too big to fail. And it distills the complexities, absurdities, and pomposities of Wall Street into plain truths and aphorisms anyone can understand. An indispensable survival guide to the hostile wilderness of today's financial markets, The Devil's Financial Dictionary delivers practical insights with a scorpion's sting. It cuts through the fads and fakery of Wall Street and clears a safe path for investors between euphoria and despair. Staying out of financial purgatory has never been this fun.

Risk and Financial Catastrophe

Risk and Financial Catastrophe PDF Author: E. Banks
Publisher: Springer
ISBN: 0230243320
Category : Business & Economics
Languages : en
Pages : 213

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Book Description
The risk process commonly used in the corporate world to deal with risks may be suitable for non-catastrophic events, but not for extreme events. By analyzing a series of past disasters and the relevant 'lessons learned', this books proposes a series of prescriptive measures to cope with future disasters.

Money, Magic, and How to Dismantle a Financial Bomb

Money, Magic, and How to Dismantle a Financial Bomb PDF Author: David Orrell
Publisher: Icon Books
ISBN: 1785788299
Category : Business & Economics
Languages : en
Pages : 304

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Book Description
Money has many apparently magical properties. It can be created out of the void - and vanish without so much as a puff of smoke. It can flash through space. It can grow without limit. And it can blow up without warning. David Orrell argues that the emerging discipline of quantum economics, of which he is at the forefront, is the key to shattering the illusions that prevent us from understanding money's true nature. In this colourful tour of the history, philosophy and mathematics of money, Orrell demonstrates how everything makes much more sense when we replace our classical economic models with ones based on quantum probability - and reveals the explosive reality of what is left once the illusions are stripped away.

Network Theory and Agent-Based Modeling in Economics and Finance

Network Theory and Agent-Based Modeling in Economics and Finance PDF Author: Anindya S. Chakrabarti
Publisher: Springer Nature
ISBN: 9811383197
Category : Business & Economics
Languages : en
Pages : 458

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Book Description
This book presents the latest findings on network theory and agent-based modeling of economic and financial phenomena. In this context, the economy is depicted as a complex system consisting of heterogeneous agents that interact through evolving networks; the aggregate behavior of the economy arises out of billions of small-scale interactions that take place via countless economic agents. The book focuses on analytical modeling, and on the econometric and statistical analysis of the properties emerging from microscopic interactions. In particular, it highlights the latest empirical and theoretical advances, helping readers understand economic and financial networks, as well as new work on modeling behavior using rich, agent-based frameworks. Innovatively, the book combines observational and theoretical insights in the form of networks and agent-based models, both of which have proved to be extremely valuable in understanding non-linear and evolving complex systems. Given its scope, the book will capture the interest of graduate students and researchers from various disciplines (e.g. economics, computer science, physics, and applied mathematics) whose work involves the domain of complexity theory.

Behavioral Finance and Wealth Management

Behavioral Finance and Wealth Management PDF Author: Michael M. Pompian
Publisher: John Wiley & Sons
ISBN: 1118182294
Category : Business & Economics
Languages : en
Pages : 352

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Book Description
The book that applies behavioral finance to the real world Understanding how to use behavioral finance theory in investingis a hot topic these days. Nobel laureate Daniel Kahneman hasdescribed financial advising as a prescriptive activity whose mainobjective should be to guide investors to make decisions that servetheir best interests. The reality? That's easier said than done. Inthe Second Edition of Behavioral Finance and WealthManagement, Michael Pompian takes a practical approach to thegrowing science of behavioral finance, and puts it to use for realinvestors. He applies knowledge of 20 of the most prominentindividual investor biases into "behaviorally-modified" assetallocation decisions. Offering investors and financial advisors a"self-help" book, Pompian shows how to create investment strategiesthat leverage the latest cutting edge research into behavioralbiases of individual investors. This book: Shows investors and financial advisors how to either moderateor adapt to behavioral biases, in order to improve investmentresults and identifies "the best practical allocation" forinvestment portfolios. Using these two sound approaches for guidinginvestment decision-making, behavioral biases are incorporated intothe portfolio management process Uses updated cases studies to show investors and financialadvisors how an investor's behavior can be modified to improveinvestment decision-making Provides useable methods for creating behaviorally modifiedinvestment portfolios, which may help investors to reach their longterm financial goals Heightens awareness of biases so that financial decisions andresulting economic outcomes are improved Offers advice on managing the effects of each bias in order toimprove investment results This Second Edition illustrates investors' behavioralbiases in detail and offers financial advisors and their clientspractical advice about how to apply the science of behavioralfinance to improve overall investment decision making.

Finance: The Basics

Finance: The Basics PDF Author: Erik Banks
Publisher: Routledge
ISBN: 1134174551
Category : Business & Economics
Languages : en
Pages : 264

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Book Description
A clear, jargon-free introduction to a complex and demanding subject, "Finance: The Basics" is the ultimate guide for those encountering this broad topic for the first time. With particular focus on the practical dimension of financial tools, instruments and markets, this user-friendly text provides the reader with a solid working knowledge of the key drivers of the financial marketplace, ensuring that the concepts learnt can be easily applied and related to daily activities, the financial press and the financial markets. Authoritative yet accessible, "Finance: The Basics" is ideal for first year undergraduates with no previous exposure to financial concepts, as well as those looking for simple yet comprehensive explanations of the primary elements of the topic.

I for Impact: Blending Islamic Finance and Impact Investing for the Global Goals

I for Impact: Blending Islamic Finance and Impact Investing for the Global Goals PDF Author: United Nations Development Programme Istanbul International Center for Private Sector in Development (UNDP IICPSD)
Publisher: United Nations Development Programme Istanbul International Center for Private Sector in Development (UNDP IICPSD) and Islamic Development Bank
ISBN:
Category : Business & Economics
Languages : en
Pages : 108

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Book Description
The 2030 Agenda for Sustainable Development offers a masterplan to create a better world for the people and the planet. It’s scale and ambition, however, requires new development partnerships supported by adequate financial and technical resources. As a response, development practitioners started to explore alternative and complementary innovative instruments to finance the SDGs -one of which is the prospects for increased cooperation and coordination between Islamic finance and impact investing. To date, however, the academic and development literature has lacked a systematic exploration of this promising collaboration between Islamic finance and impact investing. This present study attempts to fill this gap by developing the first knowledge product to increase awareness on this collaboration. I for Impact attempts to raise awareness on the compatibility between Islamic finance and impact investing. It reviews recent developments and key factors for growth, pinpoints similarities between the two sectors, and makes policy recommendations for development actors to create the conditions for the two sectors to benefit from each other.