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Kirjailija

Fabozzi Frank J.

Kirjat ja teokset yhdessä paikassa: 2 kirjaa, julkaisuja vuodelta 2004, suosituimpiin kuuluu Financial Management and Analysis Workbook. Vertaile teosten hintoja ja tarkista saatavuus suomalaisista kirjakaupoista.

2 kirjaa

Financial Management and Analysis Workbook

Financial Management and Analysis Workbook

Pamela P. Peterson; Fabozzi Frank J.; Wendy D. Habegger

John Wiley Sons Inc
2004
nidottu
This comprehensive workbook and study guide is the ideal complement to the bestselling Financial Management and Analysis, Second Edition–the definitive guide to the fundamentals of financial management and analysis. Financial Management and Analysis Workbook, Second Edition allows you to self-test your financial knowledge before putting it to work in real-world situations. Filled with practical examples, this Workbook: *Tests your comprehension and calculation skills with short-answer questions and problems that help you practice applying the principles in the actual book *Covers everything from the mathematics of finance, financial statements, and the fundamentals of valuation to capital budgeting, financing options, and international financial management *Walks you through the corresponding text, chapter by chapter, and provides fill-in-the-blank sections to reinforce the concepts and key vocabulary Along with a complete answer key, this Workbook also covers such essentials as securities and markets, financial institutions and the cost of money, risk and return, managing working capital, structured finance, equipment leasing, and project financing. Whether you need to hone your financial skills or just want a better understanding of the numerous tools and applications of financial management and analysis, this Workbook will help you get on track.
The Theory and Practice of Investment Management Workbook

The Theory and Practice of Investment Management Workbook

Markowitz Harry M.; Fabozzi Frank J.; Kostovetsky Leonard

John Wiley Sons Inc
2004
nidottu
A practical workbook that promotes the understanding of investment management The Workbook includes a full answer key and brief chapter summaries, making the information that readers attain from The Theory and Practice of Investment Management (0-471-22889-0) that much more valuable. Harry M. Markowitz, PhD (San Diego, CA), is a consultant in the finance area. In 1990 he shared the Nobel Prize in Economics for his work in portfolio theory. Leonard Kostovetsky (Woodmere, NY) is a PhD student in finance at Princeton University. He is the founder of the Princeton Finance and Economics Forum.