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The combined collapse of Iceland's three largest banks in 2008 is the third largest bankruptcy in history and the largest banking system collapse suffered by any country in modern economic history, relative to GDP.
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This book discusses new determinants for optimal portfolio selection. It reviews the existing modelling framework and creates mean-variance... Læs mere
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Tourism Management, Marketing, and Development revolves around the implementation of ICT applications in the... Læs mere
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Banking Regulation in China provides an in-depth analysis of the country's contemporary banking regulatory system, focusing on regulation in practice.
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Yoshimatsu explores the causes and implications of the diverse degree of institution-building in East Asia by examining two processes of initiating and developing multilateral institutions in five policy areas: trade, finance, food security, energy security, and the environment.
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This book provides a hands-on, practical guide to understanding derivatives pricing. Aimed at the... Læs mere
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As a result of the recent financial crisis, new ways of doing finance have developed, creating alternatives to the regular financial system. This book explores non-conventional... Læs mere
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Understanding the American stock market boom and bust of the 1920s is vital for formulating policies to combat the potentially deleterious... Læs mere
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Absence of Arbitrage Valuation presents a unified asset pricing strategy through absence of arbitrage and applies this framework to such disparate fields as fixed income security pricing, foreign exchange spots, and forward rates.
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Volatility in Korean Capital Markets summarizes the Korean experience of volatile capital flows, analyzes the economic consequences, evaluates the policy measures adopted, and suggests new measures for the future.
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As interest in MBA programs and business schools more generally continues to grow, it is essential that teachers and students analyse their established strategy for decision making.