Euromoney Learning Solutions

Euromoney Learning Solutions offers textbooks, training manuals and reports for all - from young professionals starting out in finance to the more established practitioner. We cover all the major markets including Capital Markets, Corporate Finance, Derivatives and Trading, Credit, Investment Management, Islamic Finance, Leasing, Private Banking, Project Finance, Real Estate, Risk Management, Tax and Trade and Commodity Finance. 

Our titles assess problems and issues, provide solutions, offer practical advice and include case studies and glossaries.

Project Financing, 8th edition

The eighth edition is a fundamental and essential update to the seventh edition published in 2000. This new edition examines a comprehensive range of existing and newer topics that are relevant to project financing in 2012 and explores current trends in the project finance and leasing industries. Contributors are experienced academics and practitioners.

978 1 78137 070 4

Frank Fabozzi, Carmel de Nahlik

Syndicated Lending 6th Edition

Syndicated Lending 6th ed has been substantially revised to take account of market developments since 2008 with a number of new supplements. It covers all aspects of the syndicated loan market including the history of the market, landmark transactions and its future. It combines a practical guide to all stages of a syndicated loan transaction with a deeper analysis of the structure of the market.

978-1-78137-098-8

Mark Campbell, Christoph Weaver, Mark Arbeid

Commercial Aircraft Finance Handbook

The Commercial Aircraft Finance Handbook is a brand new, much needed resource for every type of aircraft finance practitioner - seasoned and starter alike. The Handbook offers a complete view of the process of aircraft financing and the myriad issues that can arise, clearly explaining terminology as it works through the steps. It can be used as both a learning aid and resource book to be referred back to again and again through your career.

978 1 78137 260 9

Ronald Scheinberg

Aircraft Financing, 4th Edition

Edited by a team of leading airfinance lawyers with contributions from market specialists, this best-selling book describes the industry participants' needs, financing methods, country and regional markets, credit and aircraft values, legal and insurance issues and regulatory issues. It includes coverage of export credits, aircraft as investments, information on insurance, regulation, environmental and legal issues. Essental reading for airline operators, aircraft lessors lawyers, aircraft brokers, consultants and investors.

978 1 84374 895 3

Nasreen Desai, Rob Murphy

Shipping Finance, 3rd Edition

This is the must-read title for all bankers, lawyers, ship owners and everyone involved in ship finance for new ships, second-hand ships, converting or repairing a ship, or refinancing existing indebtedness secured on a ship.

978 1 84374 265 4

Prepared by Stephenson Harwood

Commodity Finance: Principles and Practice

Today, commodities represent most of the fast growing markets worldwide.This book is a hands-on summary of what is happening in commodity finance, offering a macro-level framework but importantly the practice of daily operation and its problems. It covers commodities, commodity markets, commodity trade and the finance of commodity trade. The book is first intended for practitioners (bankers, traders etc) who are interested in this subject and those financial institutions which have this business or plan to establish this business.

978-1-78137-193-0

Weixin Huang

Power Generation Financial Modelling and Analysis: A Practical Guide

This is a practical guide for those who need to enhance their financial modelling and analysis skills and knowledge in order to add value to power generation opportunities around the world for both fossil fuel energy sources and renewable energy sources. This is a high value and growth market internationally presenting fantastic opportunity.

978-1-78137-174-9

David Whittaker

Encyclopedia of Debt Finance, 2nd edition

This definitive guide to debt finance has been fully updated to provide a detailed examination of debt products and extensive examples of the markets in practice – enabling you to apply your knowledge. The new edition includes new chapters on DFI syndications. Whether you are an experienced practitioner or a newcomer this is an essential reference text for your desk.

978 1 84374 887 8

Tony Rhodes

Structuring Islamic Finance Transactions

Explaining Islamic finance product development and Shari'ah law compliance, this book shows you the structures & applications of Islamic transactions created for the modern financial world.

978 1 84374 213 5

Abdulkader Thomas, Stella Cox, Bryan Kraty

Project Finance in Practice: Case Studies

Project Finance in Practice: Case Studies provides an extensive insight into project finance for those within the finance, legal and political industry. This book offers a comprehensive entree into project finance, whilst exploring a vast range of case studies and commentaries. Readers benefit from a combination of developing further knowledge in project finance, refreshing their existing knowledge and being able to put this into practice immediately.

978-1-78137-262-3

Carmel de Nahlik &, Chris Jackson

A Practical Guide to Using Repo Master Agreements, 2nd edition

Fully revised and updated "A Practical Guide to Using Repo Master Agreements", is the second edition written by leading commentators on the subject; Paul C Harding and Christian A Johnson. A useful guide for those that need to know and understand the contents of master agreements.

978-1-78137-269-2

Paul C Harding and Christian A Johnson

Advanced Project Financing: Structuring Risk, 2nd edition

This second edition is an indispensable guide to the risks encountered in a project financing. Highly practical rather than thematic or theoretical, the book first defines each and every risk (16) and then organises the 180 structures that might be applied accordingly. It also contains 189 case study examples of Project Finance deals. After reading this book, it will be clear that a systematic review of risks will help select the appropriate structures and, importantly, highlight what may be missing.

978 1 78137 264 7

Richard Tinsley

Analysts, Lies and Statistics: Cutting Through the Hype in Corporate Earnings Announcements

Interpreting corporate earnings announcements, understanding earnings revisions and earnings surprises is key to accurately tracking investment performance. Analysts, Lies and Statistics is the first comprehensive guide examining the process of issuing corporate earnings announcements and pre-announcements. Do financial managers and analysts mediate corporate earnings announcements, and what conflicts of interests can affect the release of corporate information? This timely book will ensure all investors understand the quality and veracity of earnings information and help them make the right investment decisions. :

978 1 85564 974 3

Brian R Bruce and Mark T Bradshaw

Applied Lease Finance: A Practitioner's Guide to Leasing

Financial mathematics should now be a core skill for all leasing managers and this book provides worked examples of leasing problems. It has an international bias and will also be useful for leasing executives, corporate finance executives and financial analysts and MBA and business students.

978 1 78137 086 5

Alastair Day

Commodity and Derivatives & Finance

A unique guide to derivative products and hedging strategies for all commodities, examining each of the main OTC and non-OTC products. Interest areas: derivatives, futures, options, oil, banking.

978 1 85564 371 0

Kathleen Tener Smith, Pam Kennison

Convertibles, 2nd edition

Seven detailed chapters provide: analysis of the advantages and disadvantages of convertibles over other instruments; a statistical analysis of the instrument in the Euromarkets and domestic markets; and profiles of issuers from developed and emerging markets. Interest areas: Hedge funds, AIS, alternative investment strategies.

978 1 85564 657 5

Julian Redmayne

Corporate Finance Modelling & Analysis: A Practical Guide

This book is a practical guide for those wishing to gain further skills and knowledge in the area of financial modelling and analysis for corporate finance transactions and corporate financial decisions. This is a complete corporate finance modelling and analysis reference guide that will really enhance and supplement your financial modelling and analysis skills and add value to corporate decisions at different stages of the corporations life cycle.

978 1 84374 910 3

David Whittaker

Craking the Code: Financial Statements Explained

A guide to financial statements for those without an accountancy background. Learn how to use the numbers to your advantage and make more informed business decisions. You will learn about the typical financial statements for a company and how to analyse them to determine the profitability and the viability of a company.

978 184374 072 8

Ranjit B. Naik

Derivatives a Practitoners Guide

A detailed yet accessible analysis of the more complex derivative products, practices and controls. Extensive coverage of quantos, pricing rates, quantity adjusting, yield calculations, swap windows and spreadlocks. Interest areas: futures, options, swaps, financial engineering, credit derivatives, equity derivatives, ISDA.

978 1 85564 248 5

Naru Parekh

Dictionary of Islamic Finance

With Islamic finance strengthening and attracting interest from the world of conventional finance, there is a growing body of work on the subject. This Dictionary of Islamic Finance is intended as a companion glossary to be on hand whenever a word or phrase crops us that requires a deeper explanation.

978 1 84374 896 0

Doctor Aly Khorshid

Equity Warrants, 2nd edition

Chapters include: understanding warrants, warrants calculations and analysis, the new issues process, accountancy and tax treatment, the secondary market, the investor's perspective and the covered warrants market. Interest areas: derivatives, financial analysis, mathematics.

978 1 85564 656 8

Euromoney Encyclopedia of Islamic Finance

Edited by Aly Khorshid with 18 specialist contributors, this book is THE definitive guide to Islamic Finance. It brings you the up to date information surrounding sukuk, shariah and more.

978 1 84374 544 0

Islamic Insurance: Trends, Opportunities and the Future of Takaful

Offering an overview of the Takaful Islamic Insurance industry, our best-selling Islamic Insurance book provides in-depth insight from leading Shari'ah scholars and examines the challenges facing the Islamic insurance industry.

978 1 84374 279 1

Sohail Jaffer (ed.)

Islamic Wills, Trusts and Estates: Planning for this World and the Next

This book covers all aspects of Shari'a succession and estate planning. Along with technical details of the Shari'a mawarith (laws of succession), the book includes practical case studies and calculations showing different potential inheritance outcomes.

9781843747673

Muft Talha Ahmad Azami, Jo Summers, Shahzad Siddiqui

Credit Derivatives: Applications in Risk Management

Credit Derivatives: Applications In Risk Management outlines global trends, analyses the products and their uses in emerging markets, discusses the market's participants and their application of credit derivative products, examines risk management in a credit derivatives business, accounting for credit derivatives, pricing, the impact of EMU, synthetic credit structures, rating methodologies, and the regulatory environment. Accounting, ratings, derivatives, securitisation, securitization, fixed income.

978 I 85564 639 3

Distressed Debt Trading

This is the first book to analyse and discuss international distressed debt and the developing standards of practice and documentation which accompany the different trading platforms worldwide.

978 1 84374 058 2

Karol K Denniston

Documentation for High Yield

Documentation For High Yield Debt is the definitive guide to documentation for high yield debt issues in US and UK jurisdictions. The book is written by one of the field's leading US lawyers and uses annotations of standard documentation to give you a detailed and comprehensive understanding of Descriptions of Notes and Indentures for high yield debt issues. Interest areas: junk bonds, ISDA, bonds, debt, credit risk.

978 1 85564 697 1

David E Webb

Documentation for Loans Assignments and Participations

Written by best-selling authors and leading lawyers Tony Gooch and Linda Klein this book builds on their outstanding documentation titles such as Documentation for Derivatives. Interest areas: financial law, fixed income.

978 1 85564 458 8

Anthony C Gooch

Managing Credit Risk, Vol. 1

This book examines best (and worst) practice in the evaluation and management of credit risk. It analyses the statistical and modelling techniques which can be used to quantify and optimise credit risk management, discusses their uses, misuses, limitations and solutions. Interest areas: risk management, modelling, financial analysis, market risk, securitization, securitisation, stress testing.

978 1 85564 761 9

Prof Dr Dimitris N. Chorafas

Managing Credit Risk, Vol. 2: The Lessons of VaR Failures and Imprudent Exposure

This new book examines best (and worst) practice in the evaluation and management of credit risk. Looking at the globalisation and securitisation of credit risk it examines how credit risk is connected to market risk through trigger events. It analyses the statistical and modelling techniques which can be used to quantify and optimise credit risk management, discusses their uses, misuses, limitations and solutions. Interest areas: risk management, modelling, financial analysis, market risk, securitization, securitisation, stress testing.

978 1 85564 762 6

Prof. Dr. Dimitris N. Chorafas

Performing and Non-Performing Loan Transactions Across the World: A Practical Guide, 2nd edition

The exponential growth of performing and non-performing loan transactions during the last two decades has generated amazing benefits for both banks as sellers and investors as buyers across the boundaries. Fully updated for 2014, and with the contribution from 34 practitioners, this second edition provides the reader with the principles of arranging, servicing, financing and exit strategies of performing and non-performing loans. The reader will have access to 12 country reports.

978-1-78137-197-8

Simon Gottlieb Grieser and Jorg Wulfken

Restructurings, 2nd edition

Written by the leading US law firm Weil, Gotshal & Manges LLP, the second edition of this highly acclaimed guide draws on the firm's collective expertise to explain how you can extract value from a distressed business.

978 1 84374 484 9

Weil, Gotshal &, Manges LLP

The Offshore Trustees' UK Tax Handbook

The UK now apparently has the dubious honour of the longest tax legislation in the world. With constant changes being introduced, often more than once a year, it is hard for even UK tax practitioners to keep up. If you are based offshore, but need a working knowledge of the UK tax system, this book is for you.

978 1 84374 891 5

Jo Summers

Fund Management Collection

Use the books in this collection to guide you on how to make strategic, long-term decisions in the best interests of your HNW clients and more.

New Professional Collection

This collection is filled with our best-selling, acclaimed primers in many aspects of finance – debt finance, private equity, hedge funds, derivatives, risk management, Islamic finance.

Post-Crisis Finance Collection

Featuring a wealth of expertise from contributors who all work in the financial arena in different aspects and different countries, these books will help you better understand what happened and how to avoid in the future.

Structured Commodity Finance, Techniques and Applications for Successful Arrangements, 2nd edition

This book discusses the techniques and applications of structured commodity finance within the range of financing alternatives available to the commodity sector. In particular, it endeavours to put discipline into a subject that has been extensively discussed by banking, insurance, capital markets and legal professionals, yet often with their own professional bias. This book will help you to understand the process of structured commodity finance and be able to apply it successfully to your next financing challenge. It is probably the most comprehensive book on SCF, both in terms of the techniques described and in terms of the number of case studies presented.

978-1-78137-191-6

Emmanuelle Moors , Lamon Rutten

World of Exchanges: Adapting to a New Enviroment

This innovative new title provides in-depth analysis of the major challenges facing stock exchanges, their implications for the future and the strategies to address them.

978 1 84374 343 9

Shahin Shojai (ed.)

Exposed to the J-Curve: Understanding and Managing Private Equity Fund Investments

Find out how institutional and private investors can safely invest into private equity funds including venture capital and buyout funds. Two experienced practitioners provide you with a review of the private equity fund industry and a description of all the relevant management issues of fund investments - from a day-to-day an a portfolio perspective to indirect investment vehicles such as funds of funds and securitised notes.

978 1 84374 149 7

Ulrich Grabenwarter, Dr Tom Weidig

Handbook of Financial Mathematics 3rd edition Vol 1

A Handbook of Financial Mathematics and Financial Arithmetic: A Practitioner's Guide. Built around practical worked examples, both volumes take a step-by-step approach to understanding the mathematical underpinnings and implications of all types of deals and instruments.

1 85564 741 9

Peter Cartledge

Handbook of Financial Mathematics 3rd edition Vol 2

A Handbook of Financial Mathematics and Financial Arithmetic: A Practitioner's Guide. Built around practical worked examples, both volumes take a step-by-step approach to understanding the mathematical underpinnings and implications of all types of deals and instruments.

978 1 85564 742 8

Peter Cartledge

International Joint Ventures

Joint Ventures and businesses collaborations are becoming increasingly popular in today's international business environment. The rapid movement towards a global marketplace in many industries is causing business managers to look to trans-national partnerships as the best method of penetration of new and emerging markets overseas.

978 1 85564 573 8

Alan Gutterman

Private Equity and Venture Captial: A Practical Guide for Investors and Practitioners

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 finance. It is essential reading for those who need to understand the risks and returns involved in private equity investment as well as experienced investors who want to profit from markets other than their own.

978 1 85564 691 9

Ronald A. Lake and Rick Lake

Structuring European Private Equity

This book describes LP allocation strategies to funds, fund structures, investment strategies, performance measurement and governance at the fund and portfolio level.

978 1 84374 262 3

Iggy Bassi and Jeremy Grant (eds)

The Strategic Corporate Investments Handbook

This is a practical guide that allows its readers to obtain the skills, knowledge and methodology for growing a sustainable business. This book integrates the principles of corporate planning and financial management through the use of numerous clearly structured illustrations. It includes case studies covering the areas of strategic planning and risk management which are supported by suggested answers. In summary this book is a value added strategic financial advisory guide for sustainable corporate success.

978-1-78137-266-1

David Whittaker

US Securities Regulation: All You Need to Know About Going Public, Listing, Reporting and Private Placements

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. Securities Regulation is a practical handbook written by an author with 25 years' experience in the field. Including each of the listing, registration, accounting and reporting requirements, a full description of Regulation S, fraud and protection measures, and enforcement and liabilities for breach, this book is essential for every company officer and their advisors. Includes practical hints for going public and a Sarbanes-Oxley compliance checklist for issuers.

978 1 84374 071 1

Guy P. Lander

Valuing a Bank Under IFRS & Basel lll, 2nd edition

The 2nd edition is a complete self-study workbook, providing anyone involved in the valuation of a commercial bank for acquisitions or credit analysis with the essential tools and applications under the International Accounting Standards, International Financial Reporting Standards and within the new Basel III environment.

9781843747697

Waymond A Grier

Documentation for Derivatives: 4th edition Vol. 1

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 expanded book is the fourth edition of the best-selling guide to derivatives documentation.

978 1 85564 990 3

Anthony C Gooch, Linda B Klein

Documentation for Derivatives: 4th edition, Vol. 1

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 expanded book is the fourth edition of the best-selling guide to derivatives documentation.

978 1 85564 990 3

Anthony C Gooch, Linda B Klein

Pricing and Hedging Swaps

This book explains both the basic and advanced principles of pricing swaps and their hedge applications. Chapters describe pricing methods, swap valuation, dealing with interest rate exposure, developing trading strategies and their application in portfolio management. Lucid, clearly structured with extensive use of worked examples. Interest areas: derivatives, futures, options, valuation, investment management.

978 1 85564 052 8

Paul Miron &, Philip Swannell

Leasing and Asset Finance, 4th edition

The fourth edition of this best-selling guide is a complete compendium for everything that you need to know about lease and asset finance around the world. Expanded and fully updated. Interest areas: leasing, valuation, financial engineering, securitisation, securitization, asset finance.

1 85564 985 3

Chris Boobyer, Barclays Asset Finance

Project Finance Collection

Crammed full of case studies, analysis, practical information and models, this collection is all you need to get you through the different stages.

Project Finance in Asia Pacific: Practical Case Studies

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 players in reducing the risks and increasing the profitability of any Asia Pacific project financing. Interest areas: emerging markets, risk management, political risk, Australasia.

978 1 85564 837 1

Richard Tinsley

Project Finance in Latin America: Practical Case Studies

Latin American specific companion volume to Project Finance: Practical Case Studies, this book comprises a series of case studies spread across the markets and sectors of the region and offers a detailed examination of developments in project finance in Latin America. Interest areas: South America, emerging markets, political risk, currency risk.

978 1 85564 628 5

Henry Davis

Project Finance: Guide to Financing International Oil and Gas Projects

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 majeure risk allocation, licensing and permitting issues, and offtake and operating risks. Interest areas: political risk, emerging markets, currency risk, risk management, documentation, privatisation, oil, gas.

978 1 85564 550 9

Milbank, Tweed, Hadley &, McCloy

Project Finance: Guide to Value and Risk Management in PPP Projects

This book will enable you to develop a methodology for achieving value objectives and integrating risk controls into the PPP process. This indispensable new guide includes detailed examinations of value identification and management techniques; financial, legal and operational structures; the implementation of a risk control process; drafting PPP proposals; assessing project viability; monitoring of project objectives; and concludes with a walk through of documentary and tender procedures. Interest areas: BOT, build operate transfer, privatisation, BOOT.

978 1 85564 981 1

Dr Anthony Merna, Douglas Lamb

Multi-Manager Funds: Long-Only Strategies for Managers and Investors

Multi-Manager Funds: Long-Only Strategies for Managers and Investors is the first definitive guide to the rapidly expanding multi-manager industry. More than 20 leading practitioners (including product providers, distributors, private and institutional investors, trustees and consultants) provide you with a global overview of the multi-manager funds industry:

1 84374 220 9

Sohail Jaffer (ed)

The Legal Guide to FDI in China

This book consists of two parts: analysis and translation. The Analysis section is written by some of the country's foremost legal experts; it discusses latest FDI trends and suggests alternative ideas for structuring investments. The Translation section contains all the relevant laws and implementing rules and regulations for each investment vehicle.

978 1 78137 165 7

Financial Modelling for Project Finance, 2nd edition

Financial Modelling for Project Finance, 2nd edition is accompanied by supporting spreadsheets illustrating the methods explained and providing an example solution to the exercises.

978 1 84374 548 8

Penelope Lynch

Project Finance: Practical Case Studies, 2nd edition, Vol 1 Power and Water

Based on first hand experience of leading bankers, investors, lawyers, developers and government officials, this new book examines recent developments in project financing techniques worldwide. Interest areas: project finance, project financing. Interest areas: emerging markets, risk management, power, water

978 1 85564 845 6

Henry A. Davis

Investing in Emerging and Frontier Markets

Investing in Emerging and Frontier Markets is a practical compendium drawing together the unique and invaluable insights, wealth and knowledge and perspectives of leading experts, market practitioners, academics, consultants, lawyers, accountants and regulatory authorities into challenges and opportunities of investing in different emerging and frontier markets across business and industry sectors.

978-1-78137-102-2

Kamar Jaffer

Managing Operational Risk

Recent collapses of financial institutions show how operational risk should take an equal place alongside credit and market risk in the risk management strategy of all financial institutions. Managing Operational Risk is an invaluable guide to operational risks and their mitigation. Interest areas: risk management, banking, credit risk operations

978 1 85564 891 3

Dr Dimitris N. Chorafas

Risk Management in Financial Institutions

This is one of the very few books that focuses on the qualitative risk management methodologies of both banks and insurance companies in one place. It also benefits from the truly world-class contributors who are internationally recognized for their expertise in this area.

978-1-78137-168-8

Shahin Shojai

Setting Limits for Market Risk

This book presents a new approach to setting limits within a system of internal controls and management policies. Examining the challenges of developing and selling new financial instruments, it explains how an effective limits system will help you to exploit new business opportunities while minimising exposure and failure. Interest areas: market risk, risk management, credit risk, restructuring, banking, restructurings, corporate finance.

978 1 85564 696 4

Prof. Dr. Dimitris N. Chorafas

A Practical Guide to Sovereign Wealth Funds

This much-needed practical guide covers everything you need to further your understanding of sovereign wealth funds (SWFs) - the state-owned investment funds.

Adnan Hassan

Documentation for Derivatives 4th edition: 2002 Master Agreement Supplement

This essential supplement to Documentation for Derivatives 4th edition written by leading US financial lawyers, provides an annotated commentary to the ISDA 2002 Master Agreement form published in January 2003 for swaps and other over-the-counter transactions, together with a comparison of the 2002 and 1992 forms, and a description of bilateral amendments to existing documentation.

978 1 84374 134 3

Anthony C Gooch, Linda B Klein

Documentation for Derivatives: 4th edition Vol 2 (Hardback)

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 expanded book is the fourth edition of the best-selling guide to derivatives documentation.

978 1 85564 991 0

Anthony C Gooch, Linda B Klein

Credit Analysis of Financial Institutions, 3rd edition

The book assists the credit analyst to assess the performance and financial condition of today's financial institutions and allow the analyst to weed out the good from the bad and justify a lending or counterparty relationship. This is done by providing the credit analyst with the background and tools necessary to assess the quality of financial institutions, notably retail banks, investment banks, insurance companies, finance companies, leasing companies, investment management companies and pension funds. This new edition assessed these financial institutions against the backdrop of a 'new normalcy' of the current Global economic climate i.e. reduced profitability, greater regulatory surveillance, increased capital requirements.

978 1 78137 088 9

Waymond A Grier

Advanced Credit Risk

Advanced Credit Analysis helps readers evaluate and correctly identify the financial risks inherent in any commercial lending proposal. Interest areas: credit risk, risk management, debt management, valuation, accounting.

1 85564 517 3

Keith Checkley, Timothy Jury

Agribusiness Investment Valuation & Modelling

This book fills a gap between the many, some excellent, academic and business books written on agribusiness on the one hand, and the practical experience of private equity investment, business valuation and financial modelling on the other.

978-1-78137-072-8

Julian Roche

Bank and Sovereign Risk Analysis, 2nd edition

This book aims to provide the reader with an overview of the main elements of analysing bank and sovereign risk. This course is divided into 2 modules covering: Bank Risk Analysis and Sovereign Risk Analysis.

978-1-78137-100-8

Kenneth I'Anson, Liz Grossman

Understanding and Managing the Credit Rating Agencies

This brand new book is a unique first-time explanation of the business and inner workings of the credit ratings industry. It's an insider's view on how the rating agencies think and operate. It fills a large gap in the literature on the credit rating agencies.

978-1-78137-258-6

Roger P Nye

Letters of Credit, 2nd edition

This wholly revised and updated second edition of Michael Rowe's best-selling Letters of Credit is essential reading for everyone concerned with all aspects of international trade and finance. Comprehensive, reliable and authoritative, it considers the underlying contract of sale, the relevant transport and insurance documents and other documents which may be tendered to a bank. Interest areas: trade finance, commodity finance, countertrade, counter party, documentation, emerging markets.

1 85564 579 3

Michael Rowe

Taming Risk: Complete Credit Portfolio Management

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 motivation for credit portfolio management. Why and how has the credit market reached its current size? What is the scope and complexity of the various credit sectors? Why it is likely to grow rapidly in the future?

1 84374 133 4

Mark Fisher

Commodity Derivatives and Finance

A unique guide to derivative products and hedging strategies for all commodities, examining each of the main OTC and non-OTC products. Interest areas: derivatives, futures, options, oil, banking.

978 1 85564 371 0

Kathleen Tener Smith, Pam Kennison

Derivatives: A Practitioner's Guide

A detailed yet accessible analysis of the more complex derivative products, practices and controls. Extensive coverage of quantos, pricing rates, quantity adjusting, yield calculations, swap windows and spreadlocks. Interest areas: futures, options, swaps, financial engineering, credit derivatives, equity derivatives, ISDA.

978 1 85564 248 5

Naru Parekh

Hedge Funds: Crossing the Institutional Frontier, 2nd Edition

The best-selling Hedge Funds: Crossing the Institutional Frontier, now in its second edition, is a valuable addition to the hedge funds discourse, considering key issues facing the hedge fund industry and strategies that hedge fund managers can adopt to find a competitive edge.

Sohail Jaffer (ed.)

Through the Alpha Smoke Screens: A Guide to Hedge Fund Return Sources, 2nd edition

The second edition of one of the clearest and most readable discussions of hedge fund strategies of the last few years. Understand how the various hedge fund strategies make money, how the systematic returns of the hedge funds can be replicated, and how this understanding can improve our investment process into hedge funds. Focusing on return sources and the relationship of returns to systematic risk it looks through the smoke screen of the search for alpha to fully evaluate the nature, risks and return profiles of individual hedge fund strategies. Learn how strategies earn much of their returns by assuming risks that can be readily analysed and understood by investors and how after many years of research the hedge fund replication and alternative beta discussion has finally reached mainstream investors.

978 1 84374 938 7

Lars Jaeger

Integrated Wealth Management: The New Direction for Portfolio Managers, 2nd edition

Newly revised and updated, Jean Brunel's best-selling text on advising high-net-worth portfolio managers is now available. The Editor of The Journal of Wealth Management provides you with unique insight into how to make strategic, long-term decisions in the best interests of your clients. This new edition includes two new chapters on behavioural finance in the strategic asset allocation process; and investing in hedge funds and alternative investments.

978 1 84374 266 1

Jean L P Brunel

The New Family Office: Strategies for Consulting to the Affluent

An invaluable educational tool, The New Family Office: Innovative Strategies for Consulting to the Affluent provides investment and wealth management consultants with the skills and knowledge to exploit the new environment in private wealth management.

978 1 84374 064 3

Lisa Gray

Banking on Ethics

Is there a place for ethics in finance? Can you behave ethically in business? How? Will it make you more or less successful? This book looks at recent cases using theories of philosophy, ethics and most importantly common sense to see if there are any resolutions. In the 'hard' world of finance, is there a place for morality?

978 1 84374 941 7

George Moller

Oil, Gas and Energy Financing

Oil, Gas and Energy Financing covers the whole range of practical advice on every aspect of this wide subject.

978 1 84374 881 6

Howard Palmer

The Infrastructure Finance Handbook: Principles, Practice and Experience

A brand new title written by author Martin Blaiklock who has had 40 years of experience as a banker in infrastructure project finance. The aim of the book is to provide a clear, concise and comprehensive description of the financing of infrastructure investments, a topic which overtly may seem complex, but which in reality demands simplicity and common sense. After working alongside many experts in the field and travelled the world he has been able to first hand witness which project structures succeed and also why some fail.

978-1-78137-282-1

author , Martin Blaiklock

Financial Modelling for Real Estate Finance

Real estate construction or investment requires a high level of expertise in building financial models if the building is to be profitable. This book provides you with a step-by-step guide to constructing a financial model for a real estate development.

978 1 84374 877 9

Julian Roche

Managing BRIC Real Estate Investment Risk

The explosive growth of the BRIC countries has created massive real estate markets. These markets contain tremendous investment opportunities – and risks. This new book is the first and most comprehensive, practical guide to managing key real estate investment risks in Brazil, Russia, India and China. Through a step-by-step analysis of key risks in each of the BRIC markets and how those risks can be managed, the book will help those new to emerging markets as well as experts spot potential pitfalls in advance, create and implement a robust risk management strategy and improve risk-adjusted returns.

978 1 84374 937 0

Darin Bifani

Managing European Real Estate Investment Risk

The book provides comprehensive overviews of: (i) real estate actors, markets and investments from a risk management perspective; (ii) real estate investment risks at the country, investment structure, relationship and project levels; and (iii) real estate investment management perspectives and techniques. It also provides an overview of key current issues affecting the residential, office, retail and hotel sectors in each of the Focus Countries. These issues include economic, political and social issues, regulatory reforms and legal developments.

978 1 84374 166 4

Darin Bifani

Frontiers of Risk Management: Key Issues and Solutions

Looking at the entire spectrum of financial services risk management, this practical guide identifies the key current issues and the solutions adopted by firms.

978 1 84374 272 2

Dennis Cox (editor) and Saketh Kaveripatnam (associate editor)

Bank Risk Analysis in Emerging Markets

Designed to help you to build a strategic bank risk portfolio, Bank Risk Analysis in Emerging Markets challenges many of the commonly accepted techniques for assessing risk and suggests a new wave of evaluation methods. Using case studies of real bank failures, it discusses the techniques and concepts of bank risk analysis including loan provisions, liquidity ratios, cost/income ratios, the role of correspondent banking and the future of bank risk indicators. Interest areas: counterparty risk, financial analysis, banking.

978 1 85564 478 6

Howard Palmer

The Offshore Trustees' UK Tax Handbook

The UK now apparently has the dubious honour of the longest tax legislation in the world. With constant changes being introduced, often more than once a year, it is hard for even UK tax practitioners to keep up. If you are based offshore, but need a working knowledge of the UK tax system, this book is for you.

978 1 84374 891 5

Jo Summers

International Withholding Tax: A Practical Guide to Best Practice & Benchmarking

Whether you are a private investor or an institutional investor your investments are potentially subject to withholding tax. The vital practical issues surrounding this important tax are explained as well as how it can significantly affect the value of your investments. It will arm investors and corporations with the knowledge to confront their fund managers, financial advisors and custodians with the essential questions to maintain the integrity of their investments. For investment managers, custodians and financial institutions, this will provide a blueprint for best practice and benchmarking in the area, ensuring they can answer to their clients and shareholders, and maintain their competitive advantage. Interest areas: banking, taxation, investment management, hedge funds, wealth management, private banking.

1 84374 050 8

Ross McGill

International Trade & Pre-Export Finance 2nd Edition

The second edition of the best-selling International Trade Finance: A Practitioner's Guide is structured as a detailed and practical guide to established and emerging techniques in successful trade finance. Across 9 chapters it explains the practical issues involved in the successful application of modern trade finance practices. Interest areas: trade finance, commodity finance, pre-export finance, emerging markets, structured finance.

978 1 85564 673 5

Howard Palmer

Trade Finance Risk: Documentary Fraud and Money Laundering

Twelve detailed chapters investigate topics such as types of fraud, bank risk analysis of fraud, due diligence and money laundering. The book then presents a practical seven-step guide to the techniques of fraud avoidance. Interest areas: trade finance, fraud, money laundering, documentation, emerging markets, commodity finance.

978 1 85564 597 4

Howard Palmer

Countertrade 3rd Edition

Author Michael Rowe provides a clear and concise guide to the maze of techniques and terms involved in this area of international trade. Whether you work for an investment bank, an insurance company or a multinational corporation, if your organisation is involved in international trade or investment, you cannot afford to be without this book. Interest areas: trade finance, commodity finance, emerging markets.

978 1 85564 580 6

Michael Rowe

Islamic Finance: Innovation and Growth

Giving you 16 detailed chapters on Islamic finance's place in the global financial landscape, including compliance with Shari'ah law, Islamic Finance: Innovation & Growth is a must-read book for anyone in the Islamic finance world.

978 1 85564 921 7

Prof. Rifaat Ahmed Abdel Karim and Prof. Simon Archer

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