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Cambridge University Press
How far can tort liability expand without imposing excessive burdens upon individual activity? This comprehensive study of the subject uses a factbased comparative method and i...
Since the dissolution of the former USSR, twelve countries have, for the first time in modern history, been confronted with the task of defining their attitudes and policies to...
What should be done about airplane safety and terrorism, global warming, polluted water, nuclear power, and genetically engineered food? Decisionmakers often respond to tempora...
It is more than 25 years since the World Bank Convention on the Settlement of Investment Disputes entered into force. These reports present in a single, comprehensive series al...
The ICSID Reports provide the only comprehensive collection of the arbitral awards and decisions given under the auspices of the World Bank's International Centre for the Settl...
The ICSID Reports provide the only comprehensive collection of the arbitral awards and decisions given under the auspices of the World Bank's International Centre for the Settl...
The ICSID Reports provide the only comprehensive collection of the arbitral awards and decisions given under the auspices of the World Bank's International Centre for the Settl...
Regions within EU member states such as Scotland and Catalonia have their own legal systems.
This book explains the phenomenon of shared damages by which a stranger to litigation is entitled to share in the damages recovered in a legal suit.
It is more than twenty-five years since the World Bank Convention on the Settlement of Investment Disputes entered into force.
The law on stamp duty, based on the Stamp Act of 1891, has been thoroughly overhauled with a new law: Stamp Duty Land Tax (SDLT), introduced by Finance Act 2003.
The internationalisation of antitrust policy is a topic of great contemporary significance and debate. Dr Dabbah provides an enquiry that is at once clearly-stated, original an...
This textbook systematically sets forth the basic issues involved in public finance and public policy.
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Cameron May
The most extensive treatise published on global antitrust regulation of mergers and acquisitions. The Global Merger Notification Manual is a compilation of critical information about the merger control laws of over 110 countries.
This book provides important lessons for treaty negotiators, parliamentarians, regulators, prosecutors, judges, and NGOs. An indispensable tool for all who are concerned with u...
The selected articles cover various topics related to WTO law, ranging from some principles of WTO law, the WTO dispute settlement system as seen from the Bar, how it operated ...
This Handbook presents in graphic format an overview of all services commitments made by 146 WTO Members as of December 2002. The detailed charts for each WTO Member are design...
The debate on the introduction of the so-called `social clause' has been ongoing for a number of decades, and has particularly become lively since the 1999 WTO Ministerial Conf...
With the expansion of its scope, the WTO is having a much greater impact on governments, industries and NGOs. While the GATT was a fairly obscure organization known mostly to t...
According to received wisdom, the WTO's judicial branch - its dispute settlement system - is an exceptionally powerful judiciary, both in relation to the WTO's political elemen...
experts on WTO and international trade... from Asia, Europe and the United States examine various legal, economic and policy aspects of the multilateral as well as the regional...
The book deals in an integrated manner with global law, European and Swiss law relevant under the WTO.
Regulators acting in the field of energy are faced with three objectives: security of supply, efficient use of market forces, and environmental concerns.
This book compiles the proceedings of a conference on dispute settlement in international trade held in Montevideo, Uruguay in April 2004.
The rules governing trade in agricultural and food products are complex. The Agreement on Agriculture and the Agreement on the Application of Sanitary and Phytosanitary Measure...
International Investment Law and Arbitration: Leading Cases from t h e ICSID, NAFTA, Bilateral Treaties and Customary International Law is a collection of new essays from the w...
Throughout the book, Bacchus explains and emphasizes what he sees as the vital and indispensable connection between trade and freedom.
City & Financial
While European financial institutions have been kept busy with the regulatory initiatives of their national regulators in recent years, they now need to focus on the very signi...
First published in 1988, this highly practical book provides expert guidance and commentary on the Code in action and is recommended to any practitioner who is active in the ta...
First published in 1988, this highly practical book provides expert guidance and commentary on the Code in action and is recommended to any practitioner who is active in the ta...
This title will present a comprehensive coverage of the law and regulation of alternative investment funds, including hedge funds, private equity funds and other unregulated co...
Once business and stock markets begin to recover from their recent problems, M&A activity will undoubtedly also revive. A Practitioner's Guide to the Acquisition of Companies i...
Published in association with The International Publishing Trust, this book is an essential guide to 23 offshore financial centres, setting out the laws and practices of each t...
A Practitioner's Guide to the FSA Regulation of Lloyd's 2nd. Ed. second edition is essential reading for anyone involved in the Lloyd's market. Over two years on from the FSA t...
A Practitioner's Guide to International Money Laundering Law and Regulation is a major new publication bringing together a wealth of expertise to examine global regulatory deve...
professionals who require a comprehensive grasp of the Listing Rules, Disclosure Rules and Prospectus Rules.
A Practitioner's Guide to FSA Investigations and Enforcement has been specially written for all firms and individuals that may find themselves the subject of, or asked to assis...
The adoption of the EU Takeover Directive in April 2004 marked the end of a 14-year
A Practitioner's Guide to the Basel Accord will examine each of the three pillars of the Accord. It offers a straightforward interpretation and commentary on each pillar (Minim...
The law of insider dealing differs considerably in different jurisdictions and yet in all jurisdictions non-compliance attracts significant penalties.
Outsourcing is perhaps the dominant feature of the business landscape in recent years.
A Practitioner's Guide to the AIM Rules 4th Ed. is a comprehensive and clear guide
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Euromoney
Drawing on decades of telecoms documentation experience from two leading international law firms, this new book will enable you to protect your business from current threats bu...
Workouts are increasingly becoming a global reality and this book brings together 23 senior specialists from across the globe to provide a comprehensive discussion of out-of-co...
Learn from the experiences of key players in Asia Pacific project financings. A detailed examination of 16 major projects, this new book will aid both new entrants and current ...
Euromoney's latest edition features a LARGER than ever editorial board of globally acclaimed practitioners and senior capital markets professionals. Currency is now considered ...
This edition includes a module on valuing technology and service companies. Accessible yet detailed, this book examines all the essential techniques and teaches you how to appl...
The Raven Fox Premier Package A cost effective way to find out which new product launches are imminent, who has been successful in recent tenders and which firms are successful...
Tens of billions of dollars is over-withheld by governments every year on cross-order income because investors and their advisers do not provide taxing governments with suffici...
Developments in banking and finance over the past 25 years together with advances in technology and communication, have led to a huge surge of innovation in international finan...
Portfolio trading has become a jewel in the otherwise tarnished equities crown as fund managers increasingly gather their trades into one basket to reduce costs in volatile sto...
The recent surge in corporate bond issuance could fuel the return of liquidity to the high-grade corporate bond market, where trading volumes have dried up and bid/offer spread...
In order to develop the most efficient and cost effective systems and processes, today's cash manger must address a number of new and exciting issues; technological advances, l...
Although China's GDP is still just a fraction of that of the US, in terms of economic influence in the world, it may only be a matter of time before China holds even more sway ...
Best execution and transition management are more important now than ever before. As plan sponsors and money managers look to diversify or liquidate their portfolios, the hidde...
These two volumes examine best and worst practice in the evaluation and management of credit risk, analysing how credit risk is connected to market risk through trigger events....
Your step-by-step guide to successful spinouts. With 16 illustrative case studies and contributions from over 30 industry experts from around the world.
With a page devoted to every common financial term or product, this unique guide provides not only concise descriptive accounts but also clear commentary, analysis and diagrams...
Central and South America has come through the recent Asian and Russian crises with it's head held high. Disproving their critics, the countries of Latin America stood firm aga...
A three volume professional coursebook for the ACI/Forex Pre-Diploma curriculum (Introduction to FX and Money Markets), plus additional subjects for advanced study.
he Raven Fox Horizon Consumer Insight programme: Is an ongoing research programme involving interviewing international travellers about their travel patterns, shopping behaviou...
Euromoney's leading guide to global debt capital markets features the latest practical analysis and original research, forming a prime source of intelligence for investors and ...
This guide outlines the key issues in the development and project financing of oil and gas fields, gathering systems and pipelines, including concession agreement terms, force ...
Written by leading US financial lawyers Anthony C. Gooch of Cleary, Gottlieb, Steen & Hamilton and Linda B. Klein of Dewey Ballantine LLP, this fully revised, updated and expan...
The need for true (re)insurance professionals to be kept up to date on a multitude of issues has never been more important in maintaining a competitive edge. The past year has ...
Written by leading US financial lawyers Anthony C. Gooch of Cleary, Gottlieb, Steen & Hamilton and Linda B. Klein of Dewey Ballantine LLP, this fully revised, updated and expan...
In-depth information for all those wishing to invest and do business internationally: our country analyses offer a unique market perspective which no news media can rival. Each...
David Maude, economist at the Bank of England, and Philip Molyneux (PhD), senior lecturer and co-director of the Institute of European Finance, provide incisive analyses of tre...
As the first-ever definitive guide to Asset/Liability Management (ALM) across financial institutions, this book is essential in developing consistent frameworks for risk manage...
Essential reading for all financial professionals who work with or allocate assets to hedge funds, including private and institutional investors, fund of funds managers, hedge ...
This comprehensive guide will ensure that you understand· The nature of sukuk, how they differ from Western bonds, and the development of the sovereign and corporate sukuk market
This new title will provide an in-depth analysis of the role that export credit agencies, banks, project sponsors, contractors and service providers play in advancing and servi...
Written by ING Barings' Structured Finance Division, this edition of Euromoney's best-selling Asset Securitisation provides an even more comprehensive analysis of asset-backed ...
This book is divided into three market-specific sections providing comprehensive detail and analysis of the social and economic development of each country since independence, ...
Small-cap has become on of the hottest asset classes with consultants and pension plans over the past few years. Ever since the ground-breaking work of Banz and Reinganum, smal...
Written by an experienced business author and ex-venture capitalist, with input from leading private equity lawyers, this new book is a practical source of advice and insights ...
This insightful title from Euromoney Books describes one of the Middle East's most liberal economies. Bahrain has always been at the centre of trade and commerce in the Middle ...
This definitive and eagerly awaited new book is the first of its kind to provide an in-depth analysis of debt trading for traders, lawyers and financial advisors.
An increasing number of investors are required by fiduciary obligations to invest in a socially responsible way. How do you do this without having an adverse affect on return,
While open markets provide customers with choice and greater efficiency, market reform also changes the well-established business environment that has supported security of sup...
Country specific chapters feature case studies of recent projects presenting an informative picture of infrastructure modernisation around the world, and how it is being financ...
The biggest ever edition of Euromoney's specialist derivatives and risk management directory will enable risk managers and investors to take advantage of new investment opportu...
Volume 1 - Power and Water This first volume includes case studies on the Drax power station in the United Kingdom, Dabhol in India, Paiton I in Indonesia and Calpine in the U...
This complete self-study work book provides anyone involved in the valuation of a commercial bank for acquisitions or credit analysis with the essential tools and applications ...
Following Putin's re-election and comprehensive restructuring of the government, investors in Russia's oil and gas industry are at risk if they do not understand new political ...
Introducing Euromoney Handbooks' biggest ever alternative investments reference source.an editorial board of leaders in the field including the likes of Mark Anson and Michael ...
Your complete guide to risk underwriting, documentary issues, cross-border leasing and finance, competition law, state aids and procurement, taxation, lease evaluation, account...
A unique book, Islamic Asset Management combines the expertise of banks, asset managers, Shari'a scholars, service and distribution partners to provide you with the latest, cre...
Banking is a risk business, but one mistake can wipe out a year's profits or more. Correspondent banking is a reliable, high yield activity, and trade finance in the emerging m...
As businesses want to achieve financial efficiencies, risk management is moving up the agenda. Insurers and corporations today often want more than simple risk transfer- they w...
Euromoney's specialist equity capital markets directory will enable institutional investors to take advantage of new investment opportunities and strategies - pivotal to financ...
German capital markets are undergoing a period of radical change, orienting themselves firmly towards the international investor and moving away from the traditional relationsh...
This guide offers all the top research on a significant investment product which is gaining popularity. ETFs are one of the most talked about new financial instruments for both
This essential guide presents a detailed analysis of hedge fund investment techniques, risk and controls from the viewpoints of managers and investors.
The publication contains a series of specialist articles focusing on major cross-border issues, and regional reviews, providing industry professionals with an authoritative gui...
This unique contact resource lists the details of more than 50,000 leading professionals in 170 countries, working in 5,000 banks and financial institutions. It provides direct...
The need for true (re)insurance professionals to be kept up to date on a multitude of issues has never been more important in maintaining a competitive edge.
Edited by Tony Rhodes and written by him in association with several other leading practitioners, this book allows you to benefit from decades of combined syndicated lending ex...
The biggest ever edition of Euromoney's specialist derivatives and risk management directory will enable risk managers and investors to take advantage of new investment opportu...
Hidden Value describes in detail why there is a movement of market value from one industry player to another and helps the reader to evaluate why amazon.com can have a greater ...
A detailed, practical guide to the financing of world-wide infrastructure projects using BOT techniques. Amongst the areas covered are: the UK Private Finance Initiative, proje...
Global Telecoms Business covers the industry in a way quite unlike any other publication. Each online issue has four leading interviews with CEO's from top Telco's - giving you...
Volume 2 - Resources and Infrastructure. The second volume covers case studies on the FLAG telecommunications project; the Mega refinery in Argentina; the Petrozuata oilfield i...
This workbook will ensure you have the stress testing skills you need to develop effective internal risk management practices and controls and apply them successfully.
Volume 1 - Hardcover Written by leading US financial lawyers Anthony C. Gooch of Cleary, Gottlieb, Steen & Hamilton and Linda B. Klein of Dewey Ballantine LLP, this fully revis...
Volume 1 - Softcover Written by leading US financial lawyers Anthony C. Gooch of Cleary, Gottlieb, Steen & Hamilton and Linda B. Klein of Dewey Ballantine LLP, this fully revis...
A three volume professional coursebook for the ACI/Forex Pre-Diploma curriculum (Introduction to FX and Money Markets), plus additional subjects for advanced study.
This essential supplement to Documentation for Derivatives 4th edition written by leading US financial lawyers Anthony C. Gooch and Linda B. Klein, provides an annotated commen...
Designed for arrangers and borrowers, this book is the first comprehensive and practical guide to the techniques of structured commodity finance transactions, such as export re...
In the second edition of the highly acclaimed book, the leading US law firm, Weil, Gotashal & Manges LLP draws on the firm's collective expertise to explain how you can extract...
his guide is written for plan sponsors with articles offering practical and detailed information on product options, defining best execution, strategies to minimizing transacti...
experts whose compiled views and experience of the securitisation markets and practice is a must have for every structured finance practitioner's desk
A new and invaluable guide to the techniques and strategies a banker should employ when tackling a problem loan. Drawing on their own extensive experience and that of other pra...
Formerly called the International Telecoms Review, this guide (now in its 9th edition) provides an overview of aspects of finance, regulatory issues and technical developments ...
Since 1961, Dr Dimitris N. Chorafas has advised financial institutions and industrial corporations on strategic planning, risk management, computer and communications systems, ...
This book, the first to present analytical work on emerging market debt since the 1994 crash, details a new analytical approach to managing your risk.
An up-to-date and highly accessible directory for exchanges, trading houses and financial institutions worldwide. Both equities and commodities contacts are contained in this o...
This book contains 50 articles that explore the growth in the LNG industry. Leading industry executives examine all the key issues, including: Current and future trends in LNG...
This new and expanded successor to Loan Documentation, 2nd Edition has been written by the best-selling authors and leading lawyers Anthony Gooch and Linda Klein.
A compilation of quality articles written by experts from within the world trading forum that together present an up-to-date picture of today's commodity markets.
Edited by a team of leading air finance lawyers with contributions from other market specialists, this edition of the best-selling book has 23 detailed chapters, divided into f...
Privatisation & Public Private Partnership Review 2005/06 provides an indispensable analysis of the global privatisation and PPP market, written by leading experts from investm...
The Euopean Single Financial Markets 2005/2006 edition provides a comprehensive insight into the European marketplace and gives invaluable advice on how the EMU has affected an...
The book outlines global trends, analyses the products and their uses in emerging markets, discusses the market's participants and their application of credit derivative produc...
How the investment process works, Banks are growing more and more dependent on derivatives such as futures and options, not only as a means of hedging risk but also for specula...
The increasing size of risk in the world is influencing multinational and global companies to prtect ever larger balance sheets against traditional and untangible risks.
This is the second edition of a guide that identifies and discusses the key features of project financing in transport. The report details the role of the financial markets, re...
A new publication which will provide a far-reaching and informed discussion of new information security strategies, written by leading security and technology specialists, inve...
Structured credit products are one of today's fastest growing investment and risk management mechanisms, and a focus of innovation and creativity in the capital markets.
The 22st edition of the Airfinance Annual provides expert editorial on commercial aircraft financing - a comprehensive source of annually updated aviation market material, fina...
The 3rd edition of Corporate Governance Review brings together the thoughts of industry experts and regulators in today's market, making the review the essential reference tool...
Financial institutions take risks, can lose a great deal of money and lend to each other on a huge scale. As such, the analysis of banks and NBFIs is of special importance in j...
Available for the first time, this extensive publication includes all Research and Rankings from Institutional Investor magazine for 2003. ublished in PDF format and consisting...
Integrated Wealth Management emphasizes how you, the high-net-worth portfolio manager must follow a different set of rules, from your institutional counterparts.
Who Should Read This Book: International corporates of venture capital & private equity activity; Investment banks; Corporate lawyers; Consultancies
Produced in response to increasing regulation of the insurance industry internationally and unmatched in its coverage, this book will become the number-one reference volume for...
This book is an invaluable guide to the regulatory and licensing issues and typical contractual structures for independent power projects. It describes in-depth the key legal i...
This book covers all aspects of the international electricity industry, from deregulation and trading to financing of new projects, from the latest technological advances to ne...
In seven comprehensive modules this book examines, in detail, the markets' instruments, participants, techniques and applications and covers the equity markets, the money marke...
In eight extensive modules, the authors provide an introduction to the terminology and conceptual issues of asset securitisation, examine the types of credit enhancement, the s...
There is a weapons race among the financial elite. The weapons in question are brains, computers, communications and sophisticated software.
Credit Derivatives is unique self-study guide to these complex instruments, their application, pricing and market development. This workbook is designed to provide answers to f...
Recent years have seen new records set in the size of insured losses, as well as rapid developments in financial markets. The impact on the insurance and reinsurance markets ca...
Euromoney Yearbooks most comprehensive guide to global cash management issues. The increasing globalisation and complexity of business has stimulated demand for more efficient,...
This must have guide looks at the many openings and dead-ends that characterize the process of finding the most appropriate and effective exit strategy for a business.
With conventional banks in the west opening Islamic windows to service their Islamic customers, the establishment of the first discrete Islamic retail bank in Europe, and the c...
With traditional and new economy companies experiencing difficulties in the economic downturn, insolvency and restructuring departments are facing a challenging time. Recent hi...
The Loan Market First Quarter Report is the first special report bringing you EuroWeek 's coverage on syndicated loans plus additional data provided by Dealogic. This means tha...
With contributions from experts in private equity finance and the leading investors in this growing asset class, this book provides detailed insight into this expanding area of...
This is the first indepth book on the Special Administrative Region (SAR) since Hong Kong's reunification with China, and the first since its recovery from the Asian crisis. It...
Which asset managers are winning business; where, and how? How should you be positioning your firm in the market to exploit new opportunities around the world? And how can you ...
The 7th edition of Global Utilities Finance Report 2004 guide you through this complex and competitive market providing a unique source of analysis, insight and valuable data o...
The sixth edition of International Real Estate Finance features articles from leading Real Estate associations and contains a series of specialist articles focusing on major re...
This manual explains how international trade is financed, what instruments are used and how they work. The instruments explained include documentary credits, bonds and guarante...
The credit analyst cannot stop at a simplistic risk versus return approach. A structured, detailed and rigorous review of both internal and external risk factors is necessary t...
The second edition of this practical book is the invaluable guide to successful trade finance. The book will help the practising trade financier and those seeking entrance into...
Lease and Finance Evaluation is a unique manual of leasing and financial arithmetic models, techniques and calculations including a comprehensive Excel-based software package. ...
This best-selling book's objective is to facilitate the investment decision process of institutional investors as they seek to minimise risks and increase returns through a div...
Make sure you completely understand the ISDA Agreements and how to apply them in OTC derivatives transactions.
Gain a competitive edge by better managing and assessing credit risk. This book will ensure client managers have a comprehensive understanding of credit risk in private banking.
This book examines best and worst practice in the evaluation and management of credit risk, analysing how credit risk is connected to market risk through trigger events.
Two experienced market practitioners provide you with a review of the private equity fund industry and a description of all the relevant management issues of fund investments, ...
This volume is essential reading for anyone involved in project finance in Latin American. It contains lessons that will be valuable to anyone working on project finance in the...
An essential tool for treasurers working in corporates and financial institutions, bankers and financial managers, this book is the third edition of the best-selling guide to t...
Advanced financial analysis of the New Maths is widely acknowledged as the white heat of innovation in maximising return in the financial markets.
Advanced financial analysis of the New Maths is widely acknowledged as the white heat of innovation in maximising return in the financial markets.
The leading contact and information resource for the Fund Management industry. Now in its 5th edition, the directory, has firmly established itself as a leading resource tool f...
This new Guide features 23 articles that present the views of 26 experts who look upon the state of corporate governance at the close of 2003,
This new self-study workbook is the complete training programme for accounting for financial derivatives. It clearly explains both the concepts and practice of accounting for d...
A clear and concise guide to the analytical tools and complex financial instruments used in derivatives. This book provides a thorough course in financial analysis from an expl...
It will provide you with a comprehensive guide to the GTL industry that explore opportunities for GTL, plant design and economics, marketing GTL products, new technologies, exi...
Provides a comprehensive and detailed analysis of the prospects for and the opportunities of this region, stressing the similarities and contrasts in country performance and re...
The authors have extensively revised their original best-selling book to take in the latest practice and current economic and regulatory environment.
a comprehensive guide to securitisation activity worldwide. Written by leading players in the marketplace, the publication advances the basic knowledge and understanding of sec...
The ninth edition of the Privatisation & Public Private Partnership Review will ensure that you are fully aware of the latest thinking and structures being used in privatisatio...
Driven by technological change, global competition and the ongoing liberalisation of markets, intentional direct investment plays a key role in the process of global economic i...
Ensure your derivatives documentation agreements are correct with the complete annotated guide to The Bond Market Association Cross-Product Master Agreement.
Islamic Finance - Innovation and Growth will enable you to take advantage of the opportunities presented by one of the most rapidly growing but least understood areas of intern...
The International Element More than most other forms of finance, ship finance is international. A ship is an unusual asset. Most ships move - or are capable of moving - all ove...
The New Generation of Risk Management for Hedge Funds and Private Equity Investments has been designed to address issues that raise disquiet among investors in alternative inve...
Operational risk should take an equal place alongside credit and market risk in the risk management strategy of all financial institutions. This volume is an invaluable guide t...
This volume examines managed currencies and the place of this type of investment in strategies targeting positive absolute returns in all market environments and in delivering ...
This guide to financing both trade and projects in emerging markets was written by Michael Rowe, author of the best-selling Letters of Credit.
Interpreting corporate earnings announcements, understanding earnings revisions and earnings surprises is key to accurately tracking investment performance.
This book is a detailed discussion of the development of the global debt markets, examining the landmark developments affecting the internationalisation of bond markets, the ke...
This revised edition of Michael Rowe's best-selling Letters of Credit devotes greater attention to developing techniques such as the uses of standby letters of credit and inclu...
There is an urgent need to solve the current airspace problems and plan in a responsible manner to meet forecast demand (the current airspace dilemma is escalating at a phenome...
Project Finance: The Guide to Value and Risk Management inPPP Projects will enable you to develop a methodology for achieving value objectives and integrating risk controls int...
The consequences of the growth of the alternative investments industry have been profound. So much so, that it is difficult to keep up with the latest alternative investment id...
In six detailed modules, the updated edition of this bestselling book provides a systematic guide to analysing and managing successful investments.
With hedge funds now facing a new era, it is essential to be kept informed of the latest dynamic developments and regulatory compliance issues.
As an asset class, hedge funds and alternative investments provide a unique investment opportunity not offered by more traditional strategies
The environmental performance of aviation has been under intense international and regional scrutiny over recent years, highlighted by the debate on noise standards and the exe...
This book emphasises the transformation of eurosecurities with the burgeoning use of derivatives, informing issuers and investors about a wide range of financing and investment...
The demand for aircraft in the following five-year period is largely dependant upon events that have shaken the industry in the last eighteen months.
This new book is a detailed and comprehensive analysis of the impact of integration on the financial services industry outside core Europe.
This fully updated self-study workbook, covering both lessor and lessee perspectives, explains the fundamental principles of leasing and the workings of the leasing industry.
The ultimate reference resource for the global oil & gas executive, the International Oil & Gas Finance Review combines incisive editorial with a top class directory of contact...
All you need to know about going public, listing, reporting and private placements. A step-by-step guide to issuing in the U.S. for domestic and foreign issuers, U.S.
In volatile and unpredictable markets, the challenge is increasingly to develop a risk model that better enables the investor to manage 'unanticipated risk'.
In 72 concise pages, African Oil & Gas: The New Horizon investigates the state of the African industry. Twenty-two articles, written by Petroleum Economist journalists and lead...
If it moves in the world of project finance, you'll find it analysed, explained and assessed in Project Finance magazine. From in-depth articles evaluating new financing instru...
Your complete guide to the European Takeover Directive, national M&A regulation and the interaction between domestic and Pan-European regulation. Section & chapter on the U.S.A...
The significant impact of regulatory developments is documented thoroughly in Euromoney's Global Tax Handbook 2005 by a consortium of authors from leading industry associations...
Trade Finance Risk is a detailed yet practical guide to the detection and mitigation of the risks at the core of the international banking business
The era of algorithmic trading is here. Algorithmic trading promises to cut costs, eliminate human error, and boost trading efficiency and productivity. Nevertheless, successfu...
Explains the background, size and growth of the credit markets, the nature of credit risk, the historical pattern of credit returns, the approach of the rating agencies and the...
Asset Finance International provides hard-hitting, independently researched news and informed comments on the deals, the firms and the people driving one of the world's most co...
Examine best and worst practice in the evaluation and management of credit risk with this authoritative text.
The Shipping Finance Annual is one of Euromoney's best sellers and is now in its 13th edition. The Annual presents a global picture of the major issues at the forefront of the ...
Reactions' best-selling management report has been brought completely up-to-date with material reflecting the Insurance Risk Securitisation market as it is today.
The World Leasing Yearbook is acknowledged as the standard source book for the asset funding and leasing industry. The new 26th edition will provide an unrivalled and valuable ...
The content includes economic and political drivers to privatisation, coverage of world regions, case studies, the benefits and disadvantages of privatisation, financing option...
This two-volume set is the updated and expanded edition of Peter Cartledge's best-selling manuals A Handbook of Financial Mathematics and Financial Arithmetic: A Practitioner's...
This two-volume set is the updated and expanded edition of Peter Cartledge's best-selling manuals A Handbook of Financial Mathematics and Financial Arithmetic: A Practitioner's...
A vital reference book for anyone with an interest in the LNG Industry Contains a complete listing of the important terms used by the Liquefied Natural Gas industry
An authoritative guide to international financial markets, this book is presented as a series of easy to digest, informative articles.
The Competition and Antitrust Review 2005 provides a comprehensive overview of international antitrust legislation and competition law governing business practice world wide.
We analyze the compensation levels of hedge fund professionals from 2001-2003 (base salary only for 2003 data), and provide you with EXCLUSIVE insight into compensation levels ...
A wide-ranging explanation of currency management tactics and techniques. A unique team of specialists analyse the operational framework of foreign exchange control.
Invaluable to a newcomer to the financial sector, the workbook provides a clear and practical guide to the financial markets, explaining the instruments, terminology, participa...
Leasing 2nd edition covers both lessor and lessee perspectives, will teach the trainee the fundamental principles of leasing and explains the workings of the leasing industry.
Your complete step-by-step guide to the structures, pricing and hedging mechanisms of these complex instruments, together with a complete walk-through of the maths, and their u...
Forfaiting is rarely seen in its original form and forfaiters are using increasingly complex techniques to overcome the challenges posed by changing markets and the differing r...
The Pfandbrief is a product that no fixed-income fund manager can afford to overlook and, with Pfandbrief-like products being introduced throughout Europe, this book is essenti...
The issue of corporate social responsibility is increasingly becoming the object of attention from government, opinion formers and institutional investors.
Marketing Mutual Funds Through Independent Advisers provides EXCLUSIVE and EXTENSIVE research on the behavior, wants and needs of independent advisers and how mutual fund firms...
Global Securitisation Review 2005/06 will provide a far-reaching discussion and analysis of the global securitisation market, focusing on its size, scope, structure and sophist...
The Japanese financial system is experiencing the most profound changes of the post war era. The prolonged experience of recession has prompted a fundamental re-examination of ...
The rapid transformation of 11 segregated European capital markets into 1 single-currency market has created challenges that many businesses are failing to address.
Understand the core principles of Islamic finance instruments, their applications and structures, their placement in the context of modern financial developments and the growth...
This new self-study workbook is the complete training course for corporate finance financial modelling. On completion of the course you will be able to design, construct and te...
The need for sophisticated asset /liability management is of growing concern. Volatile global markets, proliferation of new products, and changing regulatory environments have ...
comprehensive compilation of the conversion factors used by the energy industry, which also looks at energy in the context of the emerging climate and weather industries.
Euromoney's Outsourcing Handbook forms an 'industry bible' for anyone interested in this popular, dynamic and increasingly competitive activity.
An invaluable educational tool, The New Family Office: Innovative Strategies for Consulting to the Affluent provides investment and wealth management consultants with the skill...
The third book in a series on marketing to the affluent, Private Wealth - Insight Into The High-Net-Worth Market provides a guided tour of products and services of interest to ...
The securities finance industry will undergo a major transformation in the next decade. New technologies are promising to bring more transparency to the industry
This comprehensive guide draws upon the expertise and knowledge of academics and practitioners in this field.
Petroleum Economist is the leading international energy journal. It is used extensively throughout the world energy industry because of its unrivalled editorial authority, cove...
This new book is the first detailed guide to raising and utilising private equity in Europe.
This book examines two types of equity warrants: those issued directly by the company into its own equity or into the equity of a company in which has a stake
The revolution in industry cost structure and changing customer expectations for products and services, are leaving some insurance companies vulnerable.
A practical guide to the application of credit analysis to specific situations, this book contains five modules and a forecast diskette.
Greece: Going for Gold highlights the opportunities offered by Greece's economic performance and describes the restructuring of the Greek economy that has underpinned this grow...
This book is concerned with two specific segments of the financial markets: the money markets and the capital markets around the world.
Poorly executed portfolio and manager transitions can have a costly impact on fund performance.
Written by an experienced, international correspondent banker, this guide puts correspondent banking in context and reveals its 'cross-selling' potential.
Euromoney Magazine has monthly in-depth analysis of global capital markets, benchmark polls and awards, and unrivalled access to key figures in the industry.
A comprehensive introductory presentation of the history, motivating factors, legal and accounting classification and treatment of structuring equipment leases. The content is ...
Make sure you are aware of the risks and the opportunities of investing in hedge funds through fund of funds.
The 9th edition of the Global Banking & Financial Policy Review provides a comprehensive overview of banking on a global scale. Financial policy statements written by Finance M...
he Handbook of Alternative Investment Strategies brings you strategic insights and practical research on institutional investments in a range of alternative asset classes by th...
Use your analytical skills and apply them to credit risk analysis, pricing and transference.
A timely new edition of Euromoney Books' ground-breaking title, International Corporate Governance, this is an essential guide for issuers and investors holding international p...
The Euromoney Derivatives & Risk Management Handbook 2006/07 provides the reader with a globally balanced perspective in order to predict and react to changes.
An invaluable guide to understanding how financial derivatives are regulated in the UK, US and Australia, Derivatives Regulation and Legal Risk: Managing Uncertainty in Derivat...
International Power & Utilities Finance Review 2004/2005 offers a clear, authoritative and comprehensive analysis of the ongoing changes in the global power and utilities indus...
For users and providers of international project finance, the Project Finance Yearbook provides unrivalled knowledge of how to manage project finance in today's complex markets...
This is the second edition of Professor Desmond Fitzgerald's definitive guide to futures. Financial Futures explores the mechanics of trading financial futures, examines positi...
Turnaround Management: A Guide to Corporate Restructuring covers all aspects of working with financially and operationally distressed companies and highlights how to proceed in...
Structured trade and commodity finance is defined as cross-border trade finance in emerging markets where the intention is to get repaid by the liquidation of a flow of commodi...
Technical Analysis explains the concepts behind technical analysis, takes the mystique out of the sometimes strange terminology, describes the types of chart and major chart
Reinsurance is an international, multi-billion dollar industry that is vital to the financial stability of all types of insurance company. It enables insurance companies worldw...
A user-friendly guide to these complex Definitions for market practitioners and those new to credit derivatives documentation.
Strategies for Successful Acquisitions in the UK offers the most comprehensive analysis on the best approach to M&A in the UK, presenting an insight on the regulatory and legal...
The fourth edition of this unique reference source is for anyone involved or interested in global syndicated lending.
Bank and country risk, understanding it and assessing it, quantitatively and qualitatively, has attained an importance for bankers, regulators and investors that has increased ...
Project Finance: Guide to Financing International Oil and Gas Projects examines the key issues in the development and project financing of oil and gas fields, gathering systems...
International Mergers & Acquisitions Review 2004/2005 features clear, authoritative and comprehensive articles on the latest developments in the mergers and acquisitions indust...
A unique guide to derivative products and hedging strategies for all commodities, examining each of the main OTC and non-OTC products.
Russia: All 89 Regions Trade and Investment Guide is the most complete compilation of standardized and independently verified data for all regions of Russia. The Guide is a pow...
With the emergence of new markets and innovation in existing markets, convertibles are becoming increasingly popular with issuers and investors worldwide.
The burden on compliance officers at international financial institutions and corporates has never been greater.
Euromoney Legal Media Group has commissioned the first independent survey of European in-house counsel. The report reveals:
Learning Curves V, The Guide to Understanding Derivatives , is an essential tool for bankers, money managers, treasurers, traders and investors.
The International Financial Centres' Yearbook - IFC Yearbook - is a comprehensive guide to international financial centres (IFCs) specialising in the diverse area of 'offshore'...
A Practical Guide to IFRS for Derivatives and Structured Finance offes a step-by-step guide to understanding and implementing the highly technical accounting rules
This book will teach and test you on the skills necessary to successfully utilise financial modelling for project finance.
Funds of Hedge Funds is a unique publication. Drawing on the experience of leading practitioners across the hedge fund and funds of funds industry, the book brings you independ...
Your complete, line-by-line guide to the TBMA/ISMA Global Master Repo Agreement, the US Master Repo Agreement and the European Master Agreements.
This book is what every senior financial officer needs before embarking on an international joint venture.
This interactive computer based training programme will give you access to a team of experts in risk management.
Comprehensive and authoritative, Countertrade 3rd Edition provides the definitive 'user's guide' to the risks and opportunities involved in countertrade operations.
This book dispels the mystique surrounding financial statements and explains in simple terms
The five comprehensive modules in this book examine each aspect of corporate credit analysis
Sophisticated corporations are waking up to the potential for transferring risk through the rapidly growing market in weather risk financing.
Corporate Finance defines and explains the fundamental concepts and terminology of corporate finance, including the concepts of value and different valuation techniques.
International Withholding Tax: A Practical Guide to Best Practice & Benchmarking explains that whether you are a private investor or an institutional investor
Learning Curves V, The Guide to Understanding Derivatives , is an essential tool for bankers, money managers, treasurers, traders and investors.
The 2006 Euromoney Catalogue is a high quality PDF file with images, descriptions, ISBN's and ordering information.
The only published source of detailed information on African companies and markets for the institutional investor.
AirFinance Journal is the vital source of information for senior finance, treasury and planning executives around the world
Without a sound understanding of the mathematical concepts, it is dangerous to enter into derivative contracts.
Forming the Future of Finance introduces scenario-based thinking and presents four enriched scenarios for the possible futures of finance.
Structured Finance International (SFI) provides no-nonsense, highly researched news and information on the major sectors
Trade Finance gives you the inside story on; Export Finance, Countertrade, Political Risk, Pre-export Finance, Commodity Finance, Structured Trade Finance
The second edition of International Corporate Governance Review 2004 is the essential guide to Corporate Governance issues around the world.
The Shipping Finance Annual is one of Euromoney's best sellers and is now in its 12th edition.
Pricing and Hedging Swaps explains both the basic and advanced principles of pricing swaps and their hedge applications.
An essential guide to the international LPG and LNG shipping industry today.
The new edition of one of Euromoney's best-selling self-study workbooks.
Reactions is the leading monthly magazine that provides detailed, global coverage of the insurance and reinsurance industries.
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The Institutional Investor Asset Management Database is the definitive resource covering asset management contact and company information.
Advanced Modelling for Project Finance provides you with a seasoned project finance professional to guide you through to pricing and negotiating
The definitive guide to legal issues, insurance and reinsurance in internet and e-commerce and cyber perils.
The Worldwide Directory of Securities Lending and Repo 2004-5 is the definitive directory of participants in the securities financing markets.
Network & Correspondent Banking Review is the leading publication devoted to correspondent banking and network management.
Strategies for Successful Acquisitions in the UK offers the most comprehensive analysis on the best approach to M&A in the UK,
An invaluable new guide to running and rethinking modern banking operations.
The new, definitive guide to documentation for high yield debt issues in US and UK jurisdictions.
This book is an indispensable guide to the risks encountered in a project financing.
Your complete reference to complex derivatives products, practices and controls.
Learning Curves, Vol VII: Credit Derivatives, Securitizations and the New Regulatory Environment
Covered Bonds and Pfandbriefe: Innovations, Investment and Structured Alternatives guides you through the legislation
International Equity Markets: The Art of the Deal is the best-selling study of success and failure in the global equity markets
IFLR - the only monthly magazine dedicated to the practicalities of international financial law
Derivaties Collection - Keeping you up-to-ddate with developments in the theory and practice behind the derivatives market.
Batteries International is the definitive source of news, views, technical up-dates and in-depth analysis
The eagerly awaited 7th edition of this best-selling guide to project financing.
A comprehensive & practical guide to evaluation techniques & taxation for lessees & lessors.
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