student interest and make complex ideas easier to grasp, Miller gives students the tools they need to analyze supply and demand, the theory of the firm, taxation, inflation, unemployment, national income determination, fiscal and monetary policy, economic growth, and international trade and finance....
图书标签:stock股票investmentfinance Understanding Stocks 2024 pdf epub mobi 电子书 图书描述 This is the first book for people who want to make serious money in the stock market without becoming an expert. History has proven that the surest road to long-term wealth is through investing in the ...
China Council for the Promotion of International Trade (CCPIT)222 China Development Bank (CDB)101 China National Offshore Oil Corporation (CNOOC)97 China National Petroleum Corporation (CNPC)97225 China National Star Petroleum Corporation (CNSPC)97 China Offshore Oil Corporation (COOC)97 China Petroc...
While the concept of a high/low trade is easy to grasp for beginners, it requires a lot of research as some brokers require a long length of time before the trade expires. Data Science in Finance: 9-Book Bundle Master R and Python for financial data science with our comprehensive bundle ...
Realize the differences and trade-offs between popular blockchains such as Bitcoin and Ethereum Who This Book Is For This book is aimed at intermediate programmers in any area from finance to academia. Readers should be comfortable reading and writing basic Python.Similar...
bnp paribas understanding credit derivatives vol first-to default baskets法国巴黎银行理解信贷衍生品篮子.pdf,Flow advanced credit derivatives FTD Baskets FOREWORD First-to-default baskets (“FTDs”) are relatively simple correlation products that have gai
Analysis of variance (ANOVA) has been applied to analyze the difference in perceived business obstacles across the micro-enterprises with and without access and use of digital finance. Further, a logistic regression model is developed to analyze the determinants of DFI. The findings of the study ...
When engaging in commercial banking activities, such as cross-border payment or trade finance, they are calledapplicants(senders of funds) andbeneficiaries(receivers of funds). If customers are engaged in investment banking, securities, and asset management activities, they are calledinvestorsor, ...
The Monte Carlo simulation can be used in corporate finance, options pricing, and especially portfolio management and personal finance planning. On the downside, the simulation is limited in that it can't account for bear markets, recessions, or any other kind of financial crisis that might impac...
Investors see a pattern and begin to trade based on how they think that pattern will play out. 4. If someone rolls dice and continuously gets a 1, we feel the next roll will not be 1 – though there is still a probability for a 1 5. I have seen this stock falling for 'n' ...