Investment & Securities Products

  • Mechanism Design and International Risk Regulation Institutions

    Theories and Models for Financial Markets

    By Michael C. Nwogugu

    Financial crises, including those related to sub-prime loans/mortgages, have exposed weaknesses in financial markets and risk management institutions worldwide. In 'Mechanism Design and International Risk Regulation Institutions', Mike Nwogugu explains that ’Risk Management Institutions’ in this…

    Hardback – 2017-06-30 
    Routledge

  • The Price Reporters

    A Guide to PRAs and Commodity Benchmarks

    By Owain Johnson

    Every consumer in a modern economy is indirectly exposed to the work of a price reporting agency (PRA) each time they fill up their car, take a flight or switch on a light, and yet the general public is completely unaware of the existence of PRAs. Firms like Platts, Argus and ICIS, which are…

    Paperback – 2017-06-30 
    Routledge

  • Finance at the Threshold

    Rethinking the Real and Financial Economies

    By Christopher Houghton Budd

    Every banking crisis, whatever its particular circumstances, has two features in common with every previous one. Each has been preceded by a period of excessive monetary ease, and by ill thought out regulatory changes. For many the recent hiatus in inter-bank lending has been seen as a blip -…

    Paperback – 2017-06-17 
    Routledge
    Transformation and Innovation

  • Financial Decision Making

    Understanding Chinese Investment Behavior

    By Ning Zhu

    This book sheds light on financial decision making and lays down the major biases in human behavioral decision making, such as over-confidence, naive extrapolation, attention, and risk aversion, and how they lead investors and corporations to make considerable mistakes in investment. It draws on a…

    Paperback – 2017-05-26 
    Routledge

  • Emerging Financial Derivatives

    Understanding exotic options and structured products

    By Jerome Yen, Kin Keung Lai

    Exotic options and structured products are two of the most popular financial products over the past ten years and will soon become very important to the emerging markets, especially China. This book first discusses the products' recent development in the world and provides comprehensive overview of…

    Paperback – 2017-04-15 
    Routledge
    Routledge Advances in Risk Management

  • Labor in an Islamic Setting

    Theory and Practice

    Edited by Necmettin Kizilkaya, Toseef Azid

    The Islamic labor market rests on the principles of the free market exchange of Islamic economics. Regrettably, the latter has failed to keep pace with the rapidly growing academic and professional developments of the former. Much of the published work within Islamic economics is idealistic if not…

    Hardback – 2017-04-07 
    Routledge
    Islamic Business and Finance Series

  • Growth Without Inequality

    Reinventing Capitalism

    By Henry K. H. Woo

    Many years on after the 2007–8 financial crisis, most developed nations still find themselves in a state of weak recovery, high debt pile-up and distributive disparity. The intriguing question that we face is whether the golden days of modern capitalism are over, or if capitalism is just undergoing…

    Hardback – 2017-04-05 
    Routledge
    Banking, Money and International Finance

  • China's Financial Markets

    Issues and Opportunities

    By Ming Wang, Kin Keung Lai, Jerome Yen

    This book provides an overview of China’s financial markets and their latest developments. The book explores and discusses the difficulties in building modern financial markets that are compatible with an increasingly complicated market economy and examines the various strategies to reform China’s…

    Paperback – 2017-04-05 
    Routledge
    Routledge Advances in Risk Management

  • Accounting for Financial Instruments

    A Guide to Valuation and Risk Management

    By Emanuel Camilleri, Roxanne Camilleri

    Accounting for Financial Instruments is about the accounting and regulatory framework associated with the acquisition and disposal of financial instruments; how to determine their value; how to manage the risk connected with them; and ultimately compile a business valuation report. Specifically,…

    Paperback – 2017-03-08
    Routledge

  • Essential Personal Finance

    A Practical Guide for Students

    By Lien Luu, Jonquil Lowe, Jason Butler, Tony Byrne

    Young people face unprecedented financial challenges: rising student debt, stiff competition for jobs, barriers to home ownership, dwindling state benefits and prospects of a longer working life. Today, students need financial knowledge and skills more than ever before, not just to build their own…

    Paperback – 2017-03-06
    Routledge

  • The Basel II Rating

    Ensuring Access to Finance for Your Business

    By Marc B. Lambrecht

    If you are seeking access to equity or finance from a bank or bank-related institution, your company will need a Basel II rating. How does the Basel II Rating differ from previous credit ratings? What specific information will your bankers require for the rating? What can you do to ensure the most…

    Paperback – 2017-03-06
    Routledge

  • A Theory of Speculative Bubbles and Crashes

    A study on phase transitions in financial markets with networked agents

    By Taisei Kaizoji

    Most of us would accept that recent large economic fluctuations have been caused by crashes of speculative bubbles in asset markets. For example, few would disagree that the most important cause of the global financial crisis in 2008 was the collapse of an unprecedented bubble in U.S. housing…

    Hardback – 2017-03-01
    Routledge
    Routledge Advances in Experimental and Computable Economics

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