Financial Modeling for Managers is a do-it-yourself guide to the instruments, equations and analysis of financial markets. Designed for both dealing room and classroom, it is a highly accessible reference for practitioners and students of finance. Numerous examples are provided on pricing, hedging, yield curve analysis, portfolio selection and other topics, together with detailed "how-to" models in Excel. It is currently used as an industry reference and as a university companion text for undergraduate and graduate courses in Financial Markets and Instruments, Financial Institutions Management, Portfolio Design & Investments, Treasury Management & Derivatives. This is a book to use, rather than park on the shelf!
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Dawn Lorimer is a financial educationalist and consultant, specializing in financial risk management. Her professional background spans senior capital markets dealing, pricing and risk management operations, while in more recent times she established and now directs the Victoria International Applied Finance program headquartered in Wellington, the financial capital of New Zealand.
Charles Rayhorn is an Associate Professor of Finance, and the Financial Planning Program Coordinator at Northern Michigan University. His current research interests include looking for proxies for the market risk premium. He is a member of the governing board for the Academy of Financial Services
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Descrizione libro Authors Academic Pr. Paperback. Condizione libro: VERY GOOD. Very Good copy, cover and pages show some wear from reading and storage. Binding may have light creases. Lots of life left in these pages. Codice libro della libreria 2792884320