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Public Finance
From thenile Featuring a general equilibrium framework that is both cohesive and versatile, the Second Edition of Public Finance: A Normative Theory brings new and updated information to this classic text. Through its concentration on the microeconomic theory of the public sector in the context of capitalist market economics it addresses the subjects traditionally at the heart of public sector economics, including public good theory, theory of taxation, welfa from the Economics category. |
$281.99
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Latin American Financial Markets: Developments In Financial Innovatio
From This book is a collection of 21 original papers on Latin American finance by prominent researchers in and out of the region. This is an attempt to bring them together under the same umbrella so that the commonality and peculiarity of Latin finance can be more easily discerned across different applications as well as compared across countries. While topics are diverse (encompassing corporate finance, banking, equity and bond markets, dollarization from the Economics category. |
$262.99
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Financial Dynamics
From thenile Chris Westland s book on valuation takes us on a journey through economics, accounting, finance, physics and the liberal arts. It will shake the accounting, auditing and investment communities to the core and#8211; for good reason. A must read for anyone involved in analyzing, auditing, or investing in technology companies, or for that matter, stocks in general. and#8211; Andrew Leeming, author of The Super Analysis Financial Dynamics examines from the Finance And Accounting category. |
$172.99
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Country Risk Assessment A Guide To Global Investment Strategy
From Country risk is a broad concept which brings together the varied disciplines of economics, finance, geopolitics, sociology and history. Based on a collective 50 years of experience as scholars, managers and advisors in the field of country risk, the authors set out to provide a solid understanding of the concepts and methodologies involved in formulating successful strategies for international risk assessment and management. With a balance betwee from the Finance And Accounting category. |
$171.49
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Comparison Methods For Stochastic Models And Risks
From Stochastic order relations prprovide a valuable insight into the behaviour of complex stochastic (random) systems and enable the user to collect meaningful comparative data. Application areas include queueing systems, actuarial and financial risk, decision making and stochastic simulation. Applicable to a broad range of scientific disciplines, including economics, finance, insurance and operations research Provides coverage of the latest research from the Mathematics category. |
$358.49
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Advances In Financial Economics
From thenile This volume contains fourteen research papers with theoretical and empirical treatment of important financial aspects of corporate governance. The papers cover major corporate governance issues such as the role of the board of directors, ownership structure, ownership concentration, and the influence of outside blockholders. Another salient feature of this collection is that it offers substantial international evidence, including that from the Un from the Finance category. |
$270.99
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