13-Corporate finance - Accounting - Management control - Market finance

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Introduction aux marchés financiers : fonctions, institutions, opérations, méthodes d'analyse | 134.53 SAD

Introduction aux marchés financiers : fonctions, institutions, opérations, méthodes d'analyse | 134.53 SAD

CFA Program Curriculum 2017 Level II, Volumes 1 - 6 - CFA Institute

CFA Program Curriculum 2017 Level II, Volumes 1 - 6 - CFA Institute

DCG 6 Finance d'entreprise : Corrigés du manuel | Delahaye, Jacqueline - 131.55 DEL

DCG 6 Finance d'entreprise : Corrigés du manuel | Delahaye, Jacqueline - 131.55 DEL

De la gestion des risques au management des risques : Pourquoi ? Comment ? | Le Ray, Jean - 131.56 LER

De la gestion des risques au management des risques : Pourquoi ? Comment ? | Le Ray, Jean - 131.56 LER

Thought leaders and experts offer the most current information and insights into energy finance Energy Finance and Economics offers the most up-to-date information and compelling insights into the finance and economics of energy.  Ebook

Thought leaders and experts offer the most current information and insights into energy finance Energy Finance and Economics offers the most up-to-date information and compelling insights into the finance and economics of energy.

EBOOK. Raising Capital covers every phase of the growth cycle and helps readers navigate the murky waters of capital formation. Containing checklists, charts, and sample forms, the third edition provides insights on the latest trends in the domestic and global capital markets, an overview of recent developments in federal and state securities laws, and strategies for borrowing money from commercial banks in today's credit-tightened markets.

Raising Capital: Get the Money You Need to Grow Your Business Raising Capital Get the Money You Need to Grow Your Business

Business scandals are always with us from the South Sea Bubble to Enron and Parmalat. As accounting forms a central element of any business success or failure, the role of accounting is crucial in understanding business scandals. This book aims to explore the role of accounting, particularly creative accounting and fraud, in business scandals. The book is divided into three parts. 132.55 JON

Creative accounting, fraud, and international accounting scandals / edited by Michael Jones.

Performance de la R&D et de l'innovation : du contrôle de gestion à la gestion contrôlée | 133.55 HOO

Performance de la R&D et de l'innovation : du contrôle de gestion à la gestion contrôlée | 133.55 HOO

The art of startup fundraising | 131.93 CRE on line

"The art of startup fundraising : pitching investors, negotiating the deal, and everything else entrepreneurs need to know" / by Alejandro Cremades

An introduction to derivatives and risk management | 134.06 CHA

An introduction to derivatives and risk management

Le Guides des Partenaires des Directions Financières 2016 | 131.55 ASS

Le Guides des Partenaires des Directions Financières 2016 | 131.55 ASS

EBOOK. As each new generation of entrepreneurs emerges, there is a renewed interest in how venture capital deals come together.

Venture Deals: Be Smarter Than Your Lawyer and Venture Capitalist

This market-leading text offers an accessible, effective introduction to key accounting and finance topics. With a focus on decision-making, Accounting and Finance for Non-Specialists also teaches you how to apply your learning to real-world business scenarios. The 9th edition retains the popular real world examples, progress checks, activities and exercises, and updates the coverage using an informal and engaging narrative. Ebook

Accounting and Finance for Non-Specialists, - Eddie McLaney & Peter Atrill

EBOOK.Introduces the latest techniques advocated for measuring financial market risk and portfolio optimisation, and provides a plethora of R code examples that enable the reader to replicate the results featured throughout the book. Financial Risk Modelling and Portfolio Optimisation with R: Demonstrates techniques in modelling financial risks and applying portfolio optimisation techniques as well as recent advances in the field.

Financial Risk Modelling and Portfolio Optimization with R - Bernhard Pfaff

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