Here you will find all our publications listed in alphabetical order. Save time by getting our advisors to do the searching for you. Email us your requirements and we will usually get back to you within 24 hours.
This volume clearly explains both the concepts and practice of accounting for derivatives, the calculation of financial values and the role of accounting for derivatives in risk management. It will ensure you have the accounting skills you need to pr... [more]
Charles T Haskell shares his extensive expertise to guide you through pricing and negotiating a project finance deal with the model using advanced analysis and negotiation techniques, including due diligence of analysing the project's
ability to sup... [more]
Interpreting corporate earnings announcements, understanding earnings revisions and earnings surprises is key to accurately tracking investment performance. Analysts, Lies and Statistics is the first comprehensive guide examining the process of issui... [more]
The first-ever definitive guide to Asset/Liability Management (ALM) across the spectrum of financial institutions, this book is essential in developing consistent frameworks for risk management. Leveraging the experience of 38 senior industry practi... [more]
Designed to help you to build a strategic bank risk portfolio, Bank Risk Analysis in Emerging Markets challenges many of the commonly accepted techniques for assessing risk and suggests a new wave of evaluation methods. Using case studies of real ba... [more]
Seven detailed chapters provide: analysis of the advantages and disadvantages of convertibles over other instruments; a statistical analysis of the instrument in the Euromarkets and domestic markets; and profiles of issuers from developed and emergin... [more]
Author Michael Rowe provides a clear and concise guide to the maze of techniques and terms involved in this area of international trade. Whether you work for an investment bank, an insurance company or a multinational corporation, if your organisatio... [more]
A guide to financial statements for those without an accountancy background. Learn how to use the numbers to your advantage and make more informed business decisions. You will learn about the typical financial statements for a company and how to ana... [more]
Credit Derivatives: Applications In Risk Management outlines global trends, analyses the products and their uses in emerging markets, discusses the market's participants and their application of credit derivative products, examines risk management in... [more]
This new Guide features 23 articles that present the views of 26 experts who look upon the state of corporate governance at the close of 2003, one year after the passage of the Sarbanes-Oxley Act. The authors examine recent developments in legislatio... [more]
An invaluable guide to understanding how financial derivatives are regulated in the UK, US and Australia, this book examines in detail the key market practices and standard documentation that can be used by all financial practitioners to minimise you... [more]
Written by best-selling authors and leading lawyers Tony Gooch and Linda Klein this book builds on their outstanding documentation titles such as Documentation for Derivatives. Interest areas: financial law, fixed income.
Chapters include: understanding warrants, warrants calculations and analysis, the new issues process, accountancy and tax treatment, the secondary market, the investor's perspective and the covered warrants market. Interest areas: derivatives, financ... [more]
Your complete guide to the Takeover Directive, national M&A regulation and the interaction between domestic and Pan-European regulation. This new book is an exhaustive reference for those preparing, participating, advising on and responding to takeo... [more]
A three volume professional coursebook for the ACI/Forex Pre-Diploma curriculum (Introduction to FX and Money Markets), plus additional subjects for advanced study. The workbooks cover the principal cash and derivative instruments - spot and forward ... [more]
With the increased risks involved in dealing with the global financial markets, banks and corporate companies are becoming more reliant on derivatives such as futures and options. Futures & Options is designed to give the reader a good intuitive unde... [more]
A Handbook of Financial Mathematics and Financial Arithmetic: A Practitioner's Guide. Built around practical worked examples, both volumes take a step-by-step approach to understanding the mathematical underpinnings and implications of all types of d... [more]
This is the second edition of the bestselling book. International Capital Markets is aimed at anyone seeking a broad yet expert understanding of the instruments and markets that make up the world's capital markets. The international capital markets h... [more]
In six detailed modules Investment Management provides a systematic guide to analysing and managing successful investments. Interest areas: portfolio management, technical analysis, equities, alternative investments, AIS, hedge funds.
Leasing covers both lessor and lessee perspectives, will teach the trainee the fundamental principles of leasing and explains the workings of the leasing industry. Interest areas: leasing, valuation, financial engineering, securitisation, securitizat... [more]
The first definitive guide to the rapidly expanding multi-manager industry. More than 20 leading practitioners (including product providers, distributors, private and institutional investors, trustees and consultants) provide you with a global overvi... [more]
With contributions from experts in private equity finance and the leading investors in this growing asset class, this book provides detailed insight into this expanding area of finance. It is essential reading for those who need to understand the ris... [more]
This volume examines risk structuring and allocation in key industry sectors: power, transportation/tollways, railways, airports, ports, mining, oil and gas, telecoms, satellites, water/waste water. The 5 other comprehensive modules detail: the princ... [more]
This guide outlines the key issues in the development and project financing of oil and gas fields, gathering systems and pipelines, including concession agreement terms, force majeure risk allocation, licensing and permitting issues, and offtake and ... [more]
This book will enable you to develop a methodology for achieving value objectives and integrating risk controls into the PPP process. This indispensable new guide includes detailed examinations of value identification and management techniques; finan... [more]
Securitisation 2nd edition ensures you have a complete grasp of the concepts and the practice of securitisation. In eight extensive modules, the authors provide an introduction to the terminology and conceptual issues of asset securitisation, examine... [more]
Your step-by-step guide to successful spinouts. With 16 illustrative case studies and contributions from over 30 industry experts. This book ensures you are armed with the knowledge to finance and build a successful university spinout.
Drawing on decades of telecoms documentation experience from two leading international law firms, this new book will enable you to protect your business from current threats but prepare you to take advantage of new opportunities as they arise. Intere... [more]
An invaluable educational tool, The New Family Office: Innovative Strategies for Consulting to the Affluent provides investment and wealth management consultants with the skills and knowledge to exploit the new environment in private wealth managemen... [more]
This book ensures institutional investors and private investors have the information they need to be able to evaluate their investment advice and effectively allocate and manage their alternative investment strategies.
Treasury Risk Management has the basic concepts and products of risk management, It explains option pricing theory, the mechanics of the options market and trading strategies, including exchange-traded and over-the-counter currency options.
Twelve detailed chapters investigate topics such as types of fraud, bank risk analysis of fraud, due diligence and money laundering. The book then presents a practical seven-step guide to the techniques of fraud avoidance. Interest areas: trade finan... [more]
All you need to know about going public, listing, reporting and private placements. A step-by-step guide to issuing in the U.S. for domestic and foreign issuers, U.S. Securities Regulation is a practical handbook written by an author with 25 years' e... [more]