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This book gathers selected papers presented at the International Conference on Advances in Applied Probability and Stochastic Processes, held at CMS College, Kerala, India, on 7–10 January 2019. Meer
This book continues the discussion on recent developments relating to ethical and sustainable issues in accounting and finance from Volumes I and II, looking into topics such as the importance of good governance in accounting, tax, auditing and fraud examination, ethics, sustainability, environmental issues and new technologies and their effects on accounting and finance, focusing in particular on environmental and sustainability reporting in the oil and gas and banking sectors. Meer
As the population is growing and urbanization is progressing, higher numbers of people are exposed to disaster risks, especially in the developing countries. Meer
This book proposes three normative frameworks pertaining to risk-measurement, disclosure and governance using expert opinion and data from the top 429 non-financial companies (of the NIFTY 500 index) over a 10-year period. Meer
This book focuses on how supply chain finance serves and improves industrial supply chain and financial activities of SMEs in China from innovative perspective. Meer
Based on theoretical foundations and evidence-based case studies, this book identifies the fundamental motivations underpinning corporate fraud in both developing and developed countries. Meer
This book is an exploration of the people analytics possibility, bringing out both theoretical frameworks and detailed practical case studies from the author's experience in industry and business across both sides of the table, with an understanding of data science models and SMAC (Social, Mobile & Cloud) technologies underpinning it. Meer
Introduces corporate financial management, based on the basic capital budgeting framework and the time value of money. This book focuses on theoretical formulations and correct application of financial techniques that can help improve managerial and financial decisions. Meer
Surveys modern literature on financial aggregation and index number theory, with special emphasis on the contributions of the book's two coauthors. This work for financial data researchers and users of central bank data, places emphasis on possible improvements in such data from use of the microeconomic index number and aggregation theory. Meer
This book focuses on development of blockchain-based new-generation financial infrastructures, in which a systematic, complete theoretical framework is proposed to explore blockchain-based securities trading platform, central securities depository (CSD), securities settlement system (SSS), central counterparty (CCP), payment system (PS) and trade repository (TR). Meer
Provides a treatment of academic and practitioner approaches to equity security valuation. This book challenges conventional academic wisdom surrounding the ergodic properties of stochastic processes, guided by historical and philosophical insights. Meer
William F Sharpe received the Nobel Prize in Economics in 1990 for his work on equilibrium pricing in capital markets. This book consists of a collection of Dr Sharpe's work in these and other areas. Meer
Analyzes some of the major derivatives debacles including the multi-billion losses and/or bankruptcy of Metallgesellschaft (1994), Barings Bank (1995), Long Term Capital Management (1998), Amaranth (2006), Societe Generale (2008) and AIG (2008). Meer
Cross-border banking, while having the potential for a more efficient financial sector, also creates potential challenges for bank supervisors and regulators. Meer
To understand the interest in the development of Islamic banking in South-East Asia, one must first understand the relationship originating from the Qur'an. Meer
Describes the applications of agent-based modeling to financial markets. Presenting conceptual foundations for modeling markets as complex systems, this book describes the agent-based model of the Nasdaq stock market, including strategies used by market-makers and investors, market participants interactions, and impacts of rules and regulations. Meer
Suitable for practitioners, students in doctoral programs in economics and finance, and those in masters-level programs, this book presents techniques for valuing derivative securities. Meer
Explores the potential and problems of bank safety and efficiency arising from the area of cross-border banking in the form of branches or subsidiaries with primarily only national prudential regulation. Meer
Analyzes various major derivatives debacles going back to Citibank's forex losses in its Belgian branch in 1964, to Amaranth's $5.4 billion loss on gas futures in 2006 and Societe Generale's loss of $7. Meer
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