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條碼號 |
書名 |
作者 |
出版 |
內容簡介 |
|
E104406 |
Credit Risk Assessment
-The New Lending System for Borrowers,
Lenders, and Investors |
 |
作者:Clark Abrahams、Mingyuan Zhang |
New Jersey:Wiley,2009 |
The credit market crisis of 2008 has deeply affected the economic
lives of every American. Yet, its underlying causes and its surface
features are so complex that many observers and even policymakers
barely understand them. This timely book will help guide
nonspecialists through the workings of financial markets,
particularly how they value, price, and distribute risk. |
|
E104407 |
Robust Portfolio Optimization and Management |
 |
作者:Frank J. Fabozzi、Petter N. Kolm、Dessislava Pachamanova、Sergio
M. Focardi |
New Jersey:Wiley,2007
|
In the half century since Harry Markowitz introduced his elegant
theory for selecting portfolios, investors and scholars have
extended and refined its application to a wide range of real-world
problems, culminating in the contents of this masterful book.
Fabozzi, Kolm, Pachamanova, and Focardi deserve high praise for
producing a technically rigorous yet remarkably accessible guide to
the latest advances in portfolio construction. |
|
E104408 |
Advanced Stochastic Models, Risk Assessment, and Portfolio
Optimization
-The Ideal Risk, Uncertainty, and Performance Measures |
 |
作者:Svetlozar T. Rachev、Stoyan V. Stoyanov、Frank J. Fabozzi |
New Jersey:Wiley,2008 |
This groundbreaking book extends traditional approaches of risk
measurement and portfolio optimization by combining distributional
models with risk or performance measures into one framework.
Throughout these pages, the expert authors explain the fundamentals
of probability metrics, outline new approaches to portfolio
optimization, and discuss a variety of essential risk measures. |
|
E104409 |
Bayesian Methods in Finance |
 |
作者:Svetlozar T. Rachev、John S. J. Hsu、Biliana S. Bagasheva、Frank
J. Fabozzi |
New Jersey:Wiley,2008 |
Bayesian Methods in Finance provides a detailed overview of the
theory of Bayesian methods and explains their real-world
applications to financial modeling. While the principles and
concepts explained throughout the book can be used in financial
modeling and decision making in general, the authors focus on
portfolio management and market risk management—since these are the
areas in finance where Bayesian methods have had the greatest
penetration to date. |
|
E104410 |
Mortgage-Backed Securities
-Products, Structuring, and Analytical
Techniques |
 |
作者:Frank J. Fabozzi、Anand K. Bhattacharya、William S. Berliner
|
New Jersey:Wiley,2007 |
Each chapter contains cutting-edge information for investors,
traders, and other professionals involved in this market, including
discussions of structuring mortgage products-such as agency CMOs and
new types of mortgages-and an in-depth explanation of the concept of
option-adjusted spreads and other analytical concepts used to assess
relative value. |
|
C108262 |
進出口貿易與押匯實務疑難問題解析(貳篇
) |
 |
作者:葉清宗 |
臺北市:臺灣金融研訓院,2010 |
本書內容包含:國貿條規、國際貿易各種付款條件、信用狀、出口押匯、可轉讓信用狀、進口押匯、擔保提貨、出進口及光票託收、三角貿易等九章,蒐錄進出口貿易與押匯實務疑難問題近百則,並提供國際商會(ICC)的見解及相關案例與解析供讀者參考,相當適合作為銀行、貿易商、報關行、航運及保險業者辦理外匯業務人員日常業務查考及機構開設訓練課程使用。 |
|
C108264 |
結構型商品
-重點整理及試題解析 |
 |
作者:臺灣金融研訓院編輯委員會編著 |
臺北市:臺灣金融研訓院,2010 |
本書除做重點整理及附有模擬試題外,亦有圖表解說、案例分析及第一期結構型商品測驗試題與解析,以深入淺出之方式引導讀者瞭解結構型商品理論與實務操作之相關內容,不僅適用於準備「結構型商品銷售人員資格測驗」,亦可作為金融業理專人員、財富管理相關從業人員日常業務參考及大專院校財金相關系所學生進修之用書。
|
|
C108252 |
中國金融制度與市場 |
 |
作者:朱浩民 |
臺北市:智勝文化,2010 |
本書完整的介紹中國金融制度與市場,內容包括中國的銀行、證券、保險等各行業,以及基金管理、期貨、創業投資、貨幣、債券和外匯市場……等,除了最新的法規與數據之外,在相關章節中也提供了外資金融機構在中國發展的情形,作為台灣金融業登陸之參考;最後,本書並對台灣金融機構之登陸策略以及未來兩岸金融的互動與發展,做了詳細的討論。
|
|
C108253 |
金融海嘯與公共政策 |
 |
作者:徐仁輝、郭昱瑩、周濟、張淑華主編 |
臺北市:智勝文化,2010 |
本書主要探討金融海嘯下振興經濟景氣政策的內容與效果,特別是財政政策的有效性與對財政狀況的衝擊,也論及台灣消費券的效果。本書亦針對如何利用金融海嘯時機加速中國經濟的轉型與區域城市化分別論述,以及金融海嘯對兩岸股市報酬波動的影響予以分析。此外,對於金融風暴中全球化企業角色功能與保護主義的興起也有兩篇論文加以探討。希望藉由此書的探究與評析,為振興經濟獻策,也提供學術與實務界人士參酌。 |
|
C108254 |
基本面指數投資策略 |
 |
作者:Robert D.
Arnott、Jason C. Hsu、John M. West
譯者:張竣堯 |
臺北市:財信,2010 |
指數型基金是多麼吸引投資人的投資概念,不過指數型基金採用了市值權重法,這就是很嚴重的錯誤。因為我們採用市值權重投資組合,投資在一間公司的規模會直接與股票市價相關,結果就是在高估的股票投資過多,在低估的股票投資過少,也導致投資組合報酬率會有績效被拉低的情形。如果對於可投資領域相關的結構,能從以市場為主的觀點轉換為經濟為主的觀點,那麼,偉大的指數投資組合將可大大地提升,而且帶給投資人的效益也會非常顯著。 |
|
C108255 |
俯瞰財務報表 |
 |
作者:中村亨
譯者:林慧如 |
臺北市:財信,2009 |
財務報表必須是「可用的」,最好讓人能夠有效地以最短距離達到運用自如的境界。鎖定重要部分,詳細解讀數字,推想數字背後隱含的營運模式,思考自己有何見解,或對哪裡產生疑問?從而培養出自己的「數字概念」。換句話說,透過接觸實際案例,養成解析結構,觀察真正重點,以「俯瞰」方式解讀數字的習慣,就是達到運用自如境界的最佳捷徑。 |
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C108256 |
衍生性金融商品 |
 |
作者:林左裕 |
臺北市:智勝文化,2009 |
本書自現金、債券、股票與不動產等常見之「現貨」,以及期貨、選擇權、交換契約、外幣及不動產與金融資產證券化標的設計、至各類不同商品之相關性與組合包裝(如結構型商品等),進行全盤性之介紹與探討,期提供投資者在未來選擇投資標的及進行投資決策時,能達「運籌帷幄、彈無虛發」之境界。 |