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financial performance analysis

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Кабель акустический готовый Analysis-Plus Golden Oval 6 ft/1.8 m financial performance analysis Кабель акустический готовый Analysis-Plus Golden Oval 6 ft/1.8 m financial performance analysis

Кабель акустический готовый Analysis-Plus Golden Oval 6 ft/1.8 m

Высококачественный аудиокабель, материал проводника: золото + OFC, длина 1.8 метра

Кабель акустический готовый Analysis-Plus Golden Oval 4 ft/1.2 m financial performance analysis Кабель акустический готовый Analysis-Plus Golden Oval 4 ft/1.2 m financial performance analysis

Кабель акустический готовый Analysis-Plus Golden Oval 4 ft/1.2 m

Высококачественный аудиокабель, материал проводника: золото + OFC, длина 1.2 метра

Кабель акустический готовый Analysis-Plus Oval 9 10 ft/3 m financial performance analysis Кабель акустический готовый Analysis-Plus Oval 9 10 ft/3 m financial performance analysis

Кабель акустический готовый Analysis-Plus Oval 9 10 ft/3 m

Массивный акустический кабель с внешними размерами 20 мм х 8 мм, длина 3 метра

Кабель межблочный цифровой XLR Analysis-Plus Digital Crystal 2 m XLR financial performance analysis Кабель межблочный цифровой XLR Analysis-Plus Digital Crystal 2 m XLR financial performance analysis

Кабель межблочный цифровой XLR Analysis-Plus Digital Crystal 2 m XLR

Цифровой межблочный кабель с разъемами XLR, возможная длина 0.5, 1, 1.5, 2 метра

Кабель межблочный цифровой XLR Analysis-Plus Digital Oval XLR 2 m financial performance analysis Кабель межблочный цифровой XLR Analysis-Plus Digital Oval XLR 2 m financial performance analysis

Кабель межблочный цифровой XLR Analysis-Plus Digital Oval XLR 2 m

Цифровой межблочный кабель с разъемами XLR, возможная длина 0.5, 1, 1.5, 2 метра

Fabio  Oreste Quantum Trading. Using Principles of Modern Physics to Forecast the Financial Markets financial performance analysis Fabio  Oreste Quantum Trading. Using Principles of Modern Physics to Forecast the Financial Markets financial performance analysis

Fabio Oreste Quantum Trading. Using Principles of Modern Physics to Forecast the Financial Markets

A cutting-edge guide to quantum trading Original and thought-provoking, Quantum Trading presents a compelling new way to look at technical analysis and will help you use the proven principles of modern physics to forecast financial markets. In it, author Fabio Oreste shows how both the theory of relativity and quantum physics is required to makes sense of price behavior and forecast intermediate and long-term tops and bottoms. He relates his work to that of legendary trader W.D. Gann and reveals how Gann's somewhat esoteric theories are consistent with his applications of Einstein's theory of relativity and quantum theory to price behavior. Applies concepts from modern science to financial market forecasting Shows how to generate support/resistance areas and identify potential market turning points Addresses how non-linear approaches to trading can be used to both understand and forecast market prices While no trading approach is perfect, the techniques found within these pages have enabled the author to achieve a very attractive annual return since 2002. See what his insights can do for you.

Zamir  Iqbal Intermediate Islamic Finance financial performance analysis Zamir  Iqbal Intermediate Islamic Finance financial performance analysis

Zamir Iqbal Intermediate Islamic Finance

Explore Islamic finance at a deeper level Intermediate Islamic Finance: Theory and Practice fills the gap for students and professionals who are already familiar with the fundamentals of Islamic finance, but would like to gain an enhanced understanding of Islamic finance theories and practices. This comprehensive text provides you with coverage of global developments and describes the role of Islamic finance within the global finance community to guide you in your understanding of this important aspect of the international financial landscape. The book references advance concepts and specific problems in the practice of Islamic finance, provides suggested further readings for each chapter, offers details of advanced analysis, and presents key data in visual form via graphs, figures, and tables. Profound changes have taken place in the financial landscape over the past few decades, including major innovations in financial instruments and substantial changes in regulation. With global financial markets becoming increasingly important players in the industry, it is critical that today's financial professionals understand the essence and implications of key Islamic finance theories and practices. Build upon your fundamental understanding of Islamic finance Explore some areas of convergence and conflict between Islamic finance and conventional finance Strengthen the harmony between Islamic and conventional finance theories and their applications Prepare for a well-rounded career in finance by better understanding how Islamic finance principles apply Intermediate Islamic Finance: Theory and Practice is an essential text for graduate and post-graduate finance students, economists, researchers, bankers, financial regulators, policymakers, and members of the business community who want to develop a deeper understanding of Islamic finance theories and practices.

Кабель акустический готовый Analysis-Plus Solo Crystal Oval 8 6 ft/1.8 m financial performance analysis Кабель акустический готовый Analysis-Plus Solo Crystal Oval 8 6 ft/1.8 m financial performance analysis

Кабель акустический готовый Analysis-Plus Solo Crystal Oval 8 6 ft/1.8 m

Кабель акустический с внешними размерами 20 x 10 мм, длина 1.8 метра

Кабель для тонарма Analysis-Plus Silver Oval Phono Cable RCA-RCA 1 m financial performance analysis Кабель для тонарма Analysis-Plus Silver Oval Phono Cable RCA-RCA 1 m financial performance analysis

Кабель для тонарма Analysis-Plus Silver Oval Phono Cable RCA-RCA 1 m

Кабель для тонарма, разъемы Mini Din на 2 RCA или 2 RCA на 2 RCA, возможная длина 1, 1.5 метра

Кабель для тонарма Analysis-Plus Silver Oval Phono Cable RCA-RCA 1.5 m financial performance analysis Кабель для тонарма Analysis-Plus Silver Oval Phono Cable RCA-RCA 1.5 m financial performance analysis

Кабель для тонарма Analysis-Plus Silver Oval Phono Cable RCA-RCA 1.5 m

Кабель для тонарма, разъемы Mini Din на 2 RCA или 2 RCA на 2 RCA, возможная длина 1, 1.5 метра

Кабель для сабвуфера Analysis-Plus Super Sub (In-Wall CL3) 2.5 m financial performance analysis Кабель для сабвуфера Analysis-Plus Super Sub (In-Wall CL3) 2.5 m financial performance analysis

Кабель для сабвуфера Analysis-Plus Super Sub (In-Wall CL3) 2.5 m

Кабель для активных сабвуферов RCA или XLR (Neutrik), длина 2.5 метра

Кабель для тонарма Analysis-Plus Low Mass Oval Phono Cable 1 m financial performance analysis Кабель для тонарма Analysis-Plus Low Mass Oval Phono Cable 1 m financial performance analysis

Кабель для тонарма Analysis-Plus Low Mass Oval Phono Cable 1 m

Высококачественный кабель для тонарма, разъемы Mini Din на 2 RCA, длина 1 метр

John Boatright R. Finance Ethics. Critical Issues in Theory and Practice financial performance analysis John Boatright R. Finance Ethics. Critical Issues in Theory and Practice financial performance analysis

John Boatright R. Finance Ethics. Critical Issues in Theory and Practice

A groundbreaking exploration of the critical ethical issues in financial theory and practice Compiled by volume editor John Boatright, Finance Ethics consists of contributions from scholars from many different finance disciplines. It covers key issues in financial markets, financial services, financial management, and finance theory, and includes chapters on market regulation, due diligence, reputational risk, insider trading, derivative contracts, hedge funds, mutual and pension funds, insurance, socially responsible investing, microfinance, earnings management, risk management, bankruptcy, executive compensation, hostile takeovers, and boards of directors. Special attention is given to fairness in markets and the delivery of financial services, and to the duties of fiduciaries and agents Rigorous analysis of the topics covered provides essential information and practical guidance for practitioners in finance as well as for students and academics with an interest in finance ethics Ethics in Finance skillfully explains the need for ethics in the personal conduct of finance professionals and the operation of financial markets and institutions.

Frank Fabozzi J. Investing in Mortgage-Backed and Asset-Backed Securities. Financial Modeling with R and Open Source Analytics financial performance analysis Frank Fabozzi J. Investing in Mortgage-Backed and Asset-Backed Securities. Financial Modeling with R and Open Source Analytics financial performance analysis

Frank Fabozzi J. Investing in Mortgage-Backed and Asset-Backed Securities. Financial Modeling with R and Open Source Analytics

A complete guide to investing in and managing a portfolio of mortgage- and asset-backed securities Mortgage- and asset-backed securities are not as complex as they might seem. In fact, all of the information, financial models, and software needed to successfully invest in and manage a portfolio of these securities are available to the investment professional through open source software. Investing in Mortgage and Asset-Backed Securities + Website shows you how to achieve this goal. The book draws entirely on publicly available data and open source software to construct a complete analytic framework for investing in these securities. The analytic models used throughout the book either exist in the quantlib library, as an R package, or are programmed in R and incorporated into the analytic framework used. Examines the valuation of fixed-income securities—metrics, valuation framework, and return analysis Covers residential mortgage-backed securities—security cash flow, mortgage dollar roll, adjustable rate mortgages, and private label MBS Discusses prepayment modeling and the valuation of mortgage credit Presents mortgage-backed securities valuation techniques—pass-through valuation and interest rate models Engaging and informative, this book skillfully shows you how to build, rather than buy, models and proprietary analytical platforms that will allow you to invest in mortgage- and asset-backed securities.

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