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analysis and performance of mutual funds

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Delena Spann D. Fraud Analytics. Strategies and Methods for Detection and Prevention analysis and performance of mutual funds Delena Spann D. Fraud Analytics. Strategies and Methods for Detection and Prevention analysis and performance of mutual funds

Delena Spann D. Fraud Analytics. Strategies and Methods for Detection and Prevention

Proven guidance for expertly using analytics in fraud examinations, financial analysis, auditing and fraud prevention Fraud Analytics thoroughly reveals the elements of analysis that are used in today's fraud examinations, fraud investigations, and financial crime investigations. This valuable resource reviews the types of analysis that should be considered prior to beginning an investigation and explains how to optimally use data mining techniques to detect fraud. Packed with examples and sample cases illustrating pertinent concepts in practice, this book also explores the two major data analytics providers: ACL and IDEA. Looks at elements of analysis used in today's fraud examinations Reveals how to use data mining (fraud analytic) techniques to detect fraud Examines ACL and IDEA as indispensable tools for fraud detection Includes an abundance of sample cases and examples Written by Delena D Spann, Board of Regent (Emeritus) for the Association of Certified Fraud Examiners (ACFE), who currently serves as Advisory Board Member of the Association of Certified Fraud Examiners, Board Member of the Education Task Force of the Association of Certified Anti-Money Laundering Specialists ASIS International (Economic Crime Council) and Advisory Board Member of the Robert Morris University (School of Business), Fraud Analytics equips you with authoritative fraud analysis techniques you can put to use right away.

Yves  Hilpisch Derivatives Analytics with Python. Data Analysis, Models, Simulation, Calibration and Hedging analysis and performance of mutual funds Yves  Hilpisch Derivatives Analytics with Python. Data Analysis, Models, Simulation, Calibration and Hedging analysis and performance of mutual funds

Yves Hilpisch Derivatives Analytics with Python. Data Analysis, Models, Simulation, Calibration and Hedging

Supercharge options analytics and hedging using the power of Python Derivatives Analytics with Python shows you how to implement market-consistent valuation and hedging approaches using advanced financial models, efficient numerical techniques, and the powerful capabilities of the Python programming language. This unique guide offers detailed explanations of all theory, methods, and processes, giving you the background and tools necessary to value stock index options from a sound foundation. You'll find and use self-contained Python scripts and modules and learn how to apply Python to advanced data and derivatives analytics as you benefit from the 5,000+ lines of code that are provided to help you reproduce the results and graphics presented. Coverage includes market data analysis, risk-neutral valuation, Monte Carlo simulation, model calibration, valuation, and dynamic hedging, with models that exhibit stochastic volatility, jump components, stochastic short rates, and more. The companion website features all code and IPython Notebooks for immediate execution and automation. Python is gaining ground in the derivatives analytics space, allowing institutions to quickly and efficiently deliver portfolio, trading, and risk management results. This book is the finance professional's guide to exploiting Python's capabilities for efficient and performing derivatives analytics. Reproduce major stylized facts of equity and options markets yourself Apply Fourier transform techniques and advanced Monte Carlo pricing Calibrate advanced option pricing models to market data Integrate advanced models and numeric methods to dynamically hedge options Recent developments in the Python ecosystem enable analysts to implement analytics tasks as performing as with C or C++, but using only about one-tenth of the code or even less. Derivatives Analytics with Python – Data Analysis, Models, Simulation, Calibration and Hedging shows you what you need to know to supercharge your derivatives and risk analytics efforts.

A Cognitive Linguistics Analysis analysis and performance of mutual funds A Cognitive Linguistics Analysis analysis and performance of mutual funds

A Cognitive Linguistics Analysis

A language like Gikuyu is the result of human cognition whose structure and function is based on people''s experiences. Some human experiences are too dysphemistic to be discussed without linguistic interdiction. Therefore, a clear understanding of euphemisms will help us uncover how a speaker''s mind works in a cognitive context. This book also identifies the semantic and lexical processes involved in the formation of euphemisms and how these processes blunt the impact of the language to omit specific implication that would unequivocally identify the referent. In addition, this book also looks at the influence of gender in the usage of Gikuyu euphemisms and also accounts for the analysis of euphemisms using the Conceptual Metaphor Theory (CMT). The findings of this study indicate that in spite of a few violations of the tenets of Conceptual Metaphor Theory, CMT gives us insights into the cognitive perspective of euphemisms as a way to attenuate the target domains of death; sexual intercourse; diseases; excretion and body effluvia and anatomy. The findings of this research may be of importance to teachers, court interpreters, media practitioners, counsellors and sex educators.

Frank Fabozzi J. Introduction to Fixed Income Analytics. Relative Value Analysis, Risk Measures and Valuation analysis and performance of mutual funds Frank Fabozzi J. Introduction to Fixed Income Analytics. Relative Value Analysis, Risk Measures and Valuation analysis and performance of mutual funds

Frank Fabozzi J. Introduction to Fixed Income Analytics. Relative Value Analysis, Risk Measures and Valuation

A comprehensive introduction to the key concepts of fixed income analytics The First Edition of Introduction to Fixed Income Analytics skillfully covered the fundamentals of this discipline and was the first book to feature Bloomberg screens in examples and illustrations. Since publication over eight years ago, the markets have experienced cathartic change. That's why authors Frank Fabozzi and Steven Mann have returned with a fully updated Second Edition. This reliable resource reflects current economic conditions, and offers additional chapters on relative value analysis, value-at-risk measures and information on instruments like TIPS (treasury inflation protected securities). Offers insights into value-at-risk, relative value measures, convertible bond analysis, and much more Includes updated charts and descriptions using Bloomberg screens Covers important analytical concepts used by portfolio managers Understanding fixed-income analytics is essential in today's dynamic financial environment. The Second Edition of Introduction to Fixed Income Analytics will help you build a solid foundation in this field.

Steven Bragg M. Cost Reduction Analysis. Tools and Strategies analysis and performance of mutual funds Steven Bragg M. Cost Reduction Analysis. Tools and Strategies analysis and performance of mutual funds

Steven Bragg M. Cost Reduction Analysis. Tools and Strategies

Discover the tools for knowing the costs your company should cut, without impacting its ability to deliver goods and services New from Steve Bragg, this book provides the tools for determining which costs a company should cut, without impacting its ability to deliver goods and services. It explains how to use throughput analysis in order to locate bottleneck operations in a company, which in turn dictates where capital investments should (and should not) be made. Delves into process analysis, to determine where excess resources are being used in a business process Describes the total cost of ownership, showing how a single purchasing decision actually snowballs into a variety of ancillary costs Shows how to create and use a spend management system to reduce procurement costs Shows how just-in-time systems can be used to eliminate inventory costs Cost Reduction Analysis: Tools and Strategies provides examples to show how much cost can potentially be eliminated to avoid drastic action later that can imperil your corporation's direction and future.

Leon Angel Test 2 to reveal your compatibility and mutual understanding in character, habits, religion and philosophy analysis and performance of mutual funds Leon Angel Test 2 to reveal your compatibility and mutual understanding in character, habits, religion and philosophy analysis and performance of mutual funds

Leon Angel Test 2 to reveal your compatibility and mutual understanding in character, habits, religion and philosophy

If you want to know yourself and your partner better then complete the test! If you don’t want to be disappointed in your future family life then complete the test! If you don’t want to waste your life on unproductive relationship then complete the test! If you want to become healthy, rich and wise then complete the test! God loves us all!

Andrew  Wheeler SPSS Statistics for Data Analysis and Visualization analysis and performance of mutual funds Andrew  Wheeler SPSS Statistics for Data Analysis and Visualization analysis and performance of mutual funds

Andrew Wheeler SPSS Statistics for Data Analysis and Visualization

Dive deeper into SPSS Statistics for more efficient, accurate, and sophisticated data analysis and visualization SPSS Statistics for Data Analysis and Visualization goes beyond the basics of SPSS Statistics to show you advanced techniques that exploit the full capabilities of SPSS. The authors explain when and why to use each technique, and then walk you through the execution with a pragmatic, nuts and bolts example. Coverage includes extensive, in-depth discussion of advanced statistical techniques, data visualization, predictive analytics, and SPSS programming, including automation and integration with other languages like R and Python. You'll learn the best methods to power through an analysis, with more efficient, elegant, and accurate code. IBM SPSS Statistics is complex: true mastery requires a deep understanding of statistical theory, the user interface, and programming. Most users don't encounter all of the methods SPSS offers, leaving many little-known modules undiscovered. This book walks you through tools you may have never noticed, and shows you how they can be used to streamline your workflow and enable you to produce more accurate results. Conduct a more efficient and accurate analysis Display complex relationships and create better visualizations Model complex interactions and master predictive analytics Integrate R and Python with SPSS Statistics for more efficient, more powerful code These «hidden tools» can help you produce charts that simply wouldn't be possible any other way, and the support for other programming languages gives you better options for solving complex problems. If you're ready to take advantage of everything this powerful software package has to offer, SPSS Statistics for Data Analysis and Visualization is the expert-led training you need.

Fernando  Diz Modern Security Analysis. Understanding Wall Street Fundamentals analysis and performance of mutual funds Fernando  Diz Modern Security Analysis. Understanding Wall Street Fundamentals analysis and performance of mutual funds

Fernando Diz Modern Security Analysis. Understanding Wall Street Fundamentals

A legendary value investor on security analysis for a modern era This book outlines Whitman's approach to business and security analysis that departs from most conventional security analysts. This approach has more in common with corporate finance than it does with the conventional approach. The key factors in appraising a company and its securities: 1) Credit worthiness, 2) Flows—both cash and earnings, 3) Long-term outlook, 4) Salable assets which can be disposed of without compromising the going concern, dynamics, 5) Resource conversions such as changes in control, mergers and acquisitions, going private, and major changes in assets or in liabilities, and 6) Access to capital. Offers the security analysis value approach Martin Whitman has used successfully since 1986 Details Whitman's unconventional approach to security analysis and offers information on the six key factors for appraising a company Contains the three most overemphasized factors used in conventional securities investing Written by Martin J. Whitman and Fernando Diz, Modern Security Analysis meets the challenge of today's marketplace by taking into account changes to regulation, market structures, instruments, and the speed and volume of trading.

Barry  Burns Trend Trading For Dummies analysis and performance of mutual funds Barry  Burns Trend Trading For Dummies analysis and performance of mutual funds

Barry Burns Trend Trading For Dummies

Trend trading lets the market do the work for you Is your portfolio doing all it should? Are you looking for a market-focused way to increase returns? Try your hand at trend trading. Instead of analyzing the performance of a company, analyze the performance of the market as a whole. When you spot a trend, jump on it and let it ride until it's time to move. Whether your strategy is short-term, intermediate-term, or long-term, trend trading can help you capitalize on the action of market and get the most out of every move you make. Trend Trading For Dummies will get you up to speed on the ins and outs of this unique technique. You'll learn how to spot the trends and just how heavily market analysis figures into your success. You can get as complex as you like with the data for long-term predictions or just go for quick rides that pump up your gains. Before you jump in, you need to know the basics that can help ensure your success. Learn the rules of trend trading and why you need a solid system Understand technical analysis to make accurate predictions Analyze the market and learn what to look for before you trade Use leverage to your advantage to make better moves Trend Trading For Dummies includes trading strategies that you can use as-is, or customize to suit your needs. Thorough preparation is the key to any good trading plan, and it's no different with trend trading. Trend Trading For Dummies allows you to trade using every angle, and will get you out of or into the market in a flash.

XML Update Language analysis and performance of mutual funds XML Update Language analysis and performance of mutual funds

XML Update Language

The project is aimed to develop an XML update language built on top of XQuery by adding on update primitives, which complies with the standard XQuery Update Facility 1.0 requirements. The end product does this in a flexible way, using a software archi- tecture which enables developers to choose among different XQuery engines and various XML Processing APIs in order to achieve the overall optimal performance for queries with different characteristics. This thesis starts with an investigation on existing proposals and implementations for XML updates, and describes the approach for the proposed XML update language, followed by an explanation of its implementation. In the end three groups of experiments are undertaken to evaluate the performance of this implementation: software- related, query-related, and tests for other factors. Software-related experiments identify the overall optimal implementation of the software. Query- related analysis studies how the performance varies for queries with different characteristics. Tests for other factors investigate the limitations of the software (i.e. input file size and disk space requirement).

Michael  Gilliland Business Forecasting. Practical Problems and Solutions analysis and performance of mutual funds Michael  Gilliland Business Forecasting. Practical Problems and Solutions analysis and performance of mutual funds

Michael Gilliland Business Forecasting. Practical Problems and Solutions

A comprehensive collection of the field's most provocative, influential new work Business Forecasting compiles some of the field's important and influential literature into a single, comprehensive reference for forecast modeling and process improvement. It is packed with provocative ideas from forecasting researchers and practitioners, on topics including accuracy metrics, benchmarking, modeling of problem data, and overcoming dysfunctional behaviors. Its coverage includes often-overlooked issues at the forefront of research, such as uncertainty, randomness, and forecastability, as well as emerging areas like data mining for forecasting. The articles present critical analysis of current practices and consideration of new ideas. With a mix of formal, rigorous pieces and brief introductory chapters, the book provides practitioners with a comprehensive examination of the current state of the business forecasting field. Forecasting performance is ultimately limited by the 'forecastability' of the data. Yet failing to recognize this, many organizations continue to squander resources pursuing unachievable levels of accuracy. This book provides a wealth of ideas for improving all aspects of the process, including the avoidance of wasted efforts that fail to improve (or even harm) forecast accuracy. Analyzes the most prominent issues in business forecasting Investigates emerging approaches and new methods of analysis Combines forecasts to improve accuracy Utilizes Forecast Value Added to identify process inefficiency The business environment is evolving, and forecasting methods must evolve alongside it. This compilation delivers an array of new tools and research that can enable more efficient processes and more accurate results. Business Forecasting provides an expert's-eye view of the field's latest developments to help you achieve your desired business outcomes.

Daniel Strachman A. The Fundamentals of Hedge Fund Management. How to Successfully Launch and Operate a Hedge Fund analysis and performance of mutual funds Daniel Strachman A. The Fundamentals of Hedge Fund Management. How to Successfully Launch and Operate a Hedge Fund analysis and performance of mutual funds

Daniel Strachman A. The Fundamentals of Hedge Fund Management. How to Successfully Launch and Operate a Hedge Fund

Updated edition of the book that gives investors, advisors, and managers the tools they need to launch and maintain a hedge fund in today's economy The hedge fund industry has gone through dramatic changes in recent years. Investors of all types continue to want to place their assets into these investment vehicles even in the wake of the credit crisis, massive frauds, and insider trading scandals. Once the forbidden fruit of Wall Street, hedge funds are now considered «must have» investments in any diversified portfolio. Now in its second edition, The Fundamentals of Hedge Fund Management is revised and updated to address how the credit crisis, legislation, fraud, technology, investor demand, global markets, and the economic landscape have affected the industry. Providing readers with a detailed and in-depth analysis of the world of hedge funds, the people working in it, and a look at where it's headed, the book is a timely and indispensable reference and research tool for helping professional money managers, traders, and others to launch and grow successful hedge fund businesses. Addresses how the credit crisis and its fallout has affected the hedge fund industry and what this means for the future Provides the essential information needed to launch and maintain a successful hedge fund in the new global economy Walks the reader through running a hedge fund, helping you to gain success over years, not just months An essential resource for anyone looking to invest in these much-discussed investment products, The Fundamentals of Hedge Fund Management, Second Edition is now fully revised and updated.

Joshua  Rosenbaum Investment Banking Workbook analysis and performance of mutual funds Joshua  Rosenbaum Investment Banking Workbook analysis and performance of mutual funds

Joshua Rosenbaum Investment Banking Workbook

Investment Banking WORKBOOK is the ideal complement to Investment Banking, Valuation, Leveraged Buyouts, and Mergers & Acquisitions, Second Edition, enabling you to truly master and refine the core skills at the center of the world of finance. This comprehensive study guide provides an invaluable opportunity to explore your understanding of the strategies and techniques covered in the main text, before putting them to work in real-world situations. The WORKBOOK—which parallels the main book chapter by chapter—contains over 400 problem-solving exercises and multiple-choice questions. Topics reviewed include: Valuation and its various forms of analysis, including comparable companies, precedent transactions and discounted cash flow analysis Leveraged buyouts—from the fundamentals of LBO economics and structure to detailed modeling and valuation M&A sell-side tools and techniques, including an overview of an organized M&A sale process M&A buy-side strategy and analysis, including a comprehensive merger consequences analysis that includes accretion/(dilution) and balance sheet effects The lessons found within will help you successfully navigate the dynamic world of investment banking and professional investing. Investment Banking WORKBOOK will enable you to take your learning to the next level in terms of understanding and applying the critical financial tools necessary to be an effective finance professional.

Leon Angel Test 3 to reveal your compatibility and mutual understanding in the social sphere, education, health and wealth analysis and performance of mutual funds Leon Angel Test 3 to reveal your compatibility and mutual understanding in the social sphere, education, health and wealth analysis and performance of mutual funds

Leon Angel Test 3 to reveal your compatibility and mutual understanding in the social sphere, education, health and wealth

If you want to know yourself and your partner better then complete the test! If you don’t want to be disappointed in your future family life then complete the test! If you don’t want to waste your life on unproductive relationship then complete the test! If you want to become healthy, rich and wise then complete the test! God loves us all!

A Beginner’s Guide to Discourse Analysis analysis and performance of mutual funds A Beginner’s Guide to Discourse Analysis analysis and performance of mutual funds

A Beginner’s Guide to Discourse Analysis

Want to understand discourse analysis, but not sure where to start?This practical textbook introduces you to the tools and techniques that explain how language is used in different situations, and it will be an indispensable resource that you return to again and again during your course. Author Sean Sutherland has years of experience in teaching the topic to his own undergraduate and graduate students, and the book is packed with colourful examples from novels, songs, newspaper articles and more that enrich your understanding and help you to develop confidence.A Beginner's Guide to Discourse Analysis:• Assumes no prior knowledge of the subject• Is filled with exercises and answers throughout, along with answers and commentary• Contains supporting explanations of relevant grammar pointsThis is an indispensable resource for anybody doing discourse analysis as part of their studies.

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