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  • SABR and SABR LIBOR Market Models in Practiceby Christian Crispoldi; Gérald Wigger; Peter Larkin

    Palgrave Macmillan 2015; US$ 95.00

    A hands-on guide to interest rate modelling, including the SABR model, the market standard for vanilla products, and the LIBOR market model, the most commonly used model for exotic products. This accessible book also provides an explanation of the extended SABR LIBOR market model. more...

  • Greek Endgameby Nicos Christodoulakis

    Rowman & Littlefield International 2015; US$ 28.99

    Written by a former Greek Minister of Finance, this book analyses the past present and future for the Greek Crisis. more...

  • Bailout Nationby Barry Ritholtz; Aaron Task; Bill Fleckenstein

    Wiley 2009; US$ 21.95

    An engaging look at what led to the financial turmoil we now find ourselves in Bailout Nation offers one of the clearest looks at the financial lenders, regulators, and politicians responsible for the financial crisis of 2008. Written by Barry Ritholtz, one of today's most popular economic bloggers and a well-established industry pundit, this... more...

  • Constitutional Moneyby Richard H. Timberlake

    Cambridge University Press 2013; US$ 26.00

    This book analyzes nine Supreme Court decisions that dealt primarily with money, monetary events and monetary policy. more...

  • The AIG Storyby Maurice R. Greenberg; Lawrence A. Cunningham

    Wiley 2013; US$ 29.95

    Selected as one of Motley Fool’s  "5 Great Books You Should Read" In The AIG Story , the company's long-term CEO Hank Greenberg (1967 to 2005) and GW professor and corporate governance expert Lawrence Cunningham chronicle the origins of the company and its relentless pioneering of open markets everywhere in the world. They regale... more...

  • Mandating the Measurement of Fraudby Martin Tunley

    Palgrave Macmillan 2014; US$ 45.00

    This project examines the concept of fraud loss measurement by critiquing existing measurement methodologies, and argues for the mandating of fraud loss measurement by enforced self regulation, the creation of a British Standard of fraud loss measurement, and the establishment of an information exchange matrix to develop best practice. more...

  • Financial Engineering with Copulas Explainedby Jan-Frederik Mai; Matthias Scherer

    Palgrave Macmillan 2014; US$ 40.00

    This is a succinct guide to the application and modelling of dependence models or copulas in the financial markets. First applied to credit risk modelling, copulas are now widely used across a range of derivatives transactions, asset pricing techniques and risk models and are a core part of the financial engineer's toolkit. more...

  • Stochastic Processes for Physicistsby Kurt Jacobs

    Cambridge University Press 2010; US$ 48.00

    Introduction to stochastic processes and their applications, and methods for numerical simulation, for graduate students and researchers in physics. more...

  • Financial Accountingby Bev Vickerstaff; Parminder Johal

    Taylor and Francis 2014; US$ 54.95

    Clear, concise, and written by experts currently lecturing in the field, Financial Accounting focuses exclusively on what you need to know for success in your course and career. Students looking for a focused introduction to financial accounting will appreciate this book. This innovative textbook includes features which will particularly appeal... more...

  • Cost Accountingby Mark Lee Inman

    Elsevier Science 2014; US$ 72.95

    Cost Accounting, Stage 2 discusses the basic elements of cost, cost collection, and cost accounting techniques and methods. The book provides an introduction to the concept of cost accounting and tackles cost ascertainment and conversion costs. The text discusses the various types of costing such as job, process, marginal, and standards. A whole chapter... more...