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Documentos en la biblioteca con la clasificación 332.0415 (18)



TÃtulo : Abuso del mercado : una aproximación desde el derecho comparado Tipo de documento: documento electrónico Autores: Hefendehl, Roland, Editorial: Editorial Pontificia Universidad Javeriana Fecha de publicación: 2021 Número de páginas: 1 recurso en liÌnea (105 paÌginas) ISBN/ISSN/DL: 978-958-781-591-7 Palabras clave: Mercado de capitales. Abuso de mercado. Derecho penal. Derecho comparado. Clasificación: 332.0415 Enlace de acceso : https://elibro-net.biblioproxy.umanizales.edu.co/es/lc/umanizales/titulos/274705 Abuso del mercado : una aproximación desde el derecho comparado [documento electrónico] / Hefendehl, Roland, . - Editorial Pontificia Universidad Javeriana, 2021 . - 1 recurso en liÌnea (105 paÌginas).
ISBN : 978-958-781-591-7
Palabras clave: Mercado de capitales. Abuso de mercado. Derecho penal. Derecho comparado. Clasificación: 332.0415 Enlace de acceso : https://elibro-net.biblioproxy.umanizales.edu.co/es/lc/umanizales/titulos/274705 Aproximación teórica al estado del arte de la ingenierÃa financiera / DiÌaz Valencia, Gustavo Adolfo
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TÃtulo : Aproximación teórica al estado del arte de la ingenierÃa financiera Tipo de documento: documento electrónico Autores: DiÌaz Valencia, Gustavo Adolfo, Editorial: Bogotá D.C [Colombia] : Universidad Piloto De Colombia Fecha de publicación: 2017 Número de páginas: 1 recurso en liÌnea (199 paÌginas) : Il.: ilustraciones ISBN/ISSN/DL: 9789588957524 Palabras clave: Capital market. Finance Research. Mercado financiero. Finanzas Investigaciones. Clasificación: 332.0415 Enlace de acceso : https://elibro-net.biblioproxy.umanizales.edu.co/es/lc/umanizales/titulos/128008 Aproximación teórica al estado del arte de la ingenierÃa financiera [documento electrónico] / DiÌaz Valencia, Gustavo Adolfo, . - Bogotá D.C [Colombia] : Universidad Piloto De Colombia, 2017 . - 1 recurso en liÌnea (199 paÌginas) : : ilustraciones.
ISBN : 9789588957524
Palabras clave: Capital market. Finance Research. Mercado financiero. Finanzas Investigaciones. Clasificación: 332.0415 Enlace de acceso : https://elibro-net.biblioproxy.umanizales.edu.co/es/lc/umanizales/titulos/128008
TÃtulo : Blockchain Economics and Financial Market Innovation : Financial Innovations in the Digital Age Tipo de documento: documento electrónico Autores: Hacioglu, Umit, Mención de edición: 1 ed. Editorial: [s.l.] : Springer Fecha de publicación: 2019 Número de páginas: XXIII, 563 p. 84 ilustraciones, 60 ilustraciones en color. ISBN/ISSN/DL: 978-3-030-25275-5 Nota general: Libro disponible en la plataforma SpringerLink. Descarga y lectura en formatos PDF, HTML y ePub. Descarga completa o por capítulos. Idioma : Inglés (eng) Palabras clave: Mercado capital Innovaciones tecnológicas IngenierÃa financiera Industria de servicios financieros Los mercados de capitales Gestión de Innovación y TecnologÃa Servicios financieros Clasificación: 332.0415 Resumen: Este libro analiza varios aspectos de las cadenas de bloques en los sistemas económicos y las estrategias de inversión en los mercados criptográficos. Primero aborda el tema desde un punto de vista conceptual y teórico, para luego analizarlo desde un ángulo de evaluación e inversión. Además, examina las oportunidades y limitaciones de la tributación de las criptomonedas, asà como las implicaciones polÃticas, como la regulación de la especulación con las criptomonedas. El libro está dirigido a académicos y estudiantes de los campos de la economÃa y las finanzas. . Nota de contenido: Part I. Blockchain Economics and Financial Market Innovation -- Corporate Finance in the New Business Ecosystem in Digital Age -- The Global Financial System's New Tool: Digital Money -- Redesigning Current Banknotes with Blockchain Infrastructure: A Model Proposal -- Initial Coin Offerings: Tokens as Innovative Financial Assets -- The Blockchain– Sustainability Nexus: Can this New Technology enhance Social, Environmental and Economic Sustainability? -- Part II. Crypto-Currency Investment Strategies and Crypto-Markets -- Herding Behavior in Cryptocurrency Market: CSSD and CSAD Analysis -- News Sentiment and Cryptocurrency Volatility.-Bitcoin Market Price Analysis and an Empirical Comparison with Main Currencies, Commodities, Securities and Altcoins -- The Causal Relationship between Returns and Trading Volume in Cryptocurrency Markets: Recursive Evolving Approach -- Assessment of the Crypto Market Efficiency: Empirical Evidence from Unit Root Tests with Different Approximations -- Forecasting the Prices of Cryptocurrencies Using GM(1,1) Rolling Model -- Part III. Economic and Financial Assessment of Crypto-Currencies -- Is It Possible To Understand The Dynamics of Cryptocurrency Markets Using Econophysics? Crypto – Econophysics -- The Linkage Between Cryptocurrencies and Macro-Financial Parameters: A Data Mining Approach -- Impact of Digital Technology and the Use of Blockchain Technology from Consumer Perspective -- Empirical Evidence of the Relationships between Bitcoin and Stock Exchanges: Case of Return and Volatility Spillover -- Crypto Currencies as an Investment Vehicle: The Asymmetric Relationships between Bitcoin and Precious Metals -- Part IV. Crypto Currency Taxation in Emerging Markets -- Effective Taxation System by Blockchain Technology -- Size and Taxation of Cryptocurrency: An Assessment for Emerging Economies -- Accounting and Taxation of Crypto Currencies in Emerging Markets -- Cryptocurrency and Tax Regulation: Global Challenges for Tax Administration -- Using Smart Contracts VIA Blockchain Technology for Effective Cost Management in Health Services -- Part V. Related Subjects, Political Agenda for Crypto Markets -- Cryptocurrencies in the Digital Era: The Role of Technological Trust and Its International Effects -- Existence of Speculative Bubbles for the US at times of Two Major Financial Crises in the Recent Past : An Econometric Check of BitCoin Prices -- Analysis of Relationship Between International Interest Rates and Cryptocurrency Prices: Case for Bitcoin and LIBOR -- Cryptocurrency Derivatives: The Case Of Bitcoin -- How Is A Machine Learning Algorithm Now-casting Stock Returns? A Test for ASELSAN -- A Comprehensive Framework For Accounting 4.0: Implications Of Industry 4.0 In Digital Era. Tipo de medio : Computadora Summary : This book discusses various aspects of blockchains in economic systems and investment strategies in crypto markets. It first addresses the topic from a conceptual and theoretical point of view, and then analyzes it from an assessment and investment angle. Further, it examines the opportunities and limitations of the taxation of crypto currency, as well as the political implications, such as regulation of speculation with crypto currencies. The book is intended for academicians and students in the fields of economics and finance. . Enlace de acceso : https://link-springer-com.biblioproxy.umanizales.edu.co/referencework/10.1007/97 [...] Blockchain Economics and Financial Market Innovation : Financial Innovations in the Digital Age [documento electrónico] / Hacioglu, Umit, . - 1 ed. . - [s.l.] : Springer, 2019 . - XXIII, 563 p. 84 ilustraciones, 60 ilustraciones en color.
ISBN : 978-3-030-25275-5
Libro disponible en la plataforma SpringerLink. Descarga y lectura en formatos PDF, HTML y ePub. Descarga completa o por capítulos.
Idioma : Inglés (eng)
Palabras clave: Mercado capital Innovaciones tecnológicas IngenierÃa financiera Industria de servicios financieros Los mercados de capitales Gestión de Innovación y TecnologÃa Servicios financieros Clasificación: 332.0415 Resumen: Este libro analiza varios aspectos de las cadenas de bloques en los sistemas económicos y las estrategias de inversión en los mercados criptográficos. Primero aborda el tema desde un punto de vista conceptual y teórico, para luego analizarlo desde un ángulo de evaluación e inversión. Además, examina las oportunidades y limitaciones de la tributación de las criptomonedas, asà como las implicaciones polÃticas, como la regulación de la especulación con las criptomonedas. El libro está dirigido a académicos y estudiantes de los campos de la economÃa y las finanzas. . Nota de contenido: Part I. Blockchain Economics and Financial Market Innovation -- Corporate Finance in the New Business Ecosystem in Digital Age -- The Global Financial System's New Tool: Digital Money -- Redesigning Current Banknotes with Blockchain Infrastructure: A Model Proposal -- Initial Coin Offerings: Tokens as Innovative Financial Assets -- The Blockchain– Sustainability Nexus: Can this New Technology enhance Social, Environmental and Economic Sustainability? -- Part II. Crypto-Currency Investment Strategies and Crypto-Markets -- Herding Behavior in Cryptocurrency Market: CSSD and CSAD Analysis -- News Sentiment and Cryptocurrency Volatility.-Bitcoin Market Price Analysis and an Empirical Comparison with Main Currencies, Commodities, Securities and Altcoins -- The Causal Relationship between Returns and Trading Volume in Cryptocurrency Markets: Recursive Evolving Approach -- Assessment of the Crypto Market Efficiency: Empirical Evidence from Unit Root Tests with Different Approximations -- Forecasting the Prices of Cryptocurrencies Using GM(1,1) Rolling Model -- Part III. Economic and Financial Assessment of Crypto-Currencies -- Is It Possible To Understand The Dynamics of Cryptocurrency Markets Using Econophysics? Crypto – Econophysics -- The Linkage Between Cryptocurrencies and Macro-Financial Parameters: A Data Mining Approach -- Impact of Digital Technology and the Use of Blockchain Technology from Consumer Perspective -- Empirical Evidence of the Relationships between Bitcoin and Stock Exchanges: Case of Return and Volatility Spillover -- Crypto Currencies as an Investment Vehicle: The Asymmetric Relationships between Bitcoin and Precious Metals -- Part IV. Crypto Currency Taxation in Emerging Markets -- Effective Taxation System by Blockchain Technology -- Size and Taxation of Cryptocurrency: An Assessment for Emerging Economies -- Accounting and Taxation of Crypto Currencies in Emerging Markets -- Cryptocurrency and Tax Regulation: Global Challenges for Tax Administration -- Using Smart Contracts VIA Blockchain Technology for Effective Cost Management in Health Services -- Part V. Related Subjects, Political Agenda for Crypto Markets -- Cryptocurrencies in the Digital Era: The Role of Technological Trust and Its International Effects -- Existence of Speculative Bubbles for the US at times of Two Major Financial Crises in the Recent Past : An Econometric Check of BitCoin Prices -- Analysis of Relationship Between International Interest Rates and Cryptocurrency Prices: Case for Bitcoin and LIBOR -- Cryptocurrency Derivatives: The Case Of Bitcoin -- How Is A Machine Learning Algorithm Now-casting Stock Returns? A Test for ASELSAN -- A Comprehensive Framework For Accounting 4.0: Implications Of Industry 4.0 In Digital Era. Tipo de medio : Computadora Summary : This book discusses various aspects of blockchains in economic systems and investment strategies in crypto markets. It first addresses the topic from a conceptual and theoretical point of view, and then analyzes it from an assessment and investment angle. Further, it examines the opportunities and limitations of the taxation of crypto currency, as well as the political implications, such as regulation of speculation with crypto currencies. The book is intended for academicians and students in the fields of economics and finance. . Enlace de acceso : https://link-springer-com.biblioproxy.umanizales.edu.co/referencework/10.1007/97 [...]
TÃtulo : Capital Markets and Investment Decision Making Tipo de documento: documento electrónico Autores: Dhankar, Raj S., Mención de edición: 1 ed. Editorial: New Delhi [India] : Springer Fecha de publicación: 2019 Número de páginas: XVIII, 355 p. 40 ilustraciones, 15 ilustraciones en color. ISBN/ISSN/DL: 978-81-322-3748-8 Nota general: Libro disponible en la plataforma SpringerLink. Descarga y lectura en formatos PDF, HTML y ePub. Descarga completa o por capítulos. Idioma : Inglés (eng) Palabras clave: Mercado capital Industria de servicios financieros Gestion de riesgos financieros Macroeconómica Los mercados de capitales Servicios financieros Gestión de riesgos MacroeconomÃa y economÃa monetaria Clasificación: 332.0415 Resumen: Este libro analiza los mercados de capitales y la toma de decisiones de inversión, centrándose en la globalización de la economÃa mundial. Presenta resultados probados empÃricamente de los mercados bursátiles de la India y el suroeste de Asia y ofrece información valiosa sobre el funcionamiento de los mercados de capital indios. El libro se divide en cuatro partes: la primera examina las operaciones del mercado de capitales, en particular los procesos de compensación y liquidación, y las operaciones del mercado de valores. La segunda parte aborda luego el funcionamiento de los mercados globales y las decisiones de inversión; más especÃficamente, explora las anomalÃas del calendario, las dependencias, el efecto de reacción exagerada, el efecto de causalidad y la volatilidad de los rendimientos de las acciones en el sur de Asia, Estados Unidos y los mercados bursátiles mundiales en su conjunto. La tercera parte cubre cuestiones relacionadas con la estructura de capital, los valores de las empresas y las estrategias de inversión. Por último, la cuarta parte analiza cuestiones emergentes en las finanzas, como las finanzas conductuales, las finanzas islámicas y las normas internacionales de información financiera. El libro llena el vacÃo en la literatura financiera existente y ayuda a los administradores de fondos y a los inversores individuales a tomar decisiones de inversión más precisas. Nota de contenido: Redesigning of the Clearance and Settlement Process in the Indian Capital markets -- Redesigning of Clearance and Settlement Process and its Impact on its Performance in the Indian Equity market -- Enabling Clearance and Settlement Process Redesign: A Study of the Indian Equity Market -- Forecasting Exchange Rate: A Time Series Analysis -- Antecedents of Clearance and Settlement Process Redesign: A Case of Indian Capital Markets -- Clearance and Settlement Process: The Path Travelled and the Way Forward -- Are there Calendar Anomalies in the Bourses of South Asia? -- Merger and Acquisitions in India – A Changing Scenario and its New Evaluation Paradigm -- Cost of Capital, Optimal Capital Structure and Value of Firm: An Empirical Study of Indian Companies -- An Appraisal of Capital Budgeting Decision Mechanism in Indian Corporates -- Foreign Direct Investment in the Changing Global Scenario and its Implications for Developing Countries -- The Cost of Capital, Capital Structure, Dividend Policyand Value of Firm: Three Decades Later -- Relevance of Capital Asset Pricing Model in Indian Stock Market -- Non-Linearties and Garch Effects in the Emerging Stock Markets of South Asia -- Dependencies in Stock Markets of South Asia: India, Sri Lanka and Pakistan -- Application of CAPM in the Indian Stock Market: A Comprehensive Reassessment -- Arbitrage Pricing Theory and the Capital Asset Pricing Model- Evidence from the Indian Stock Market -- Testing of Stock Price Behaviour in Indian Markets: An Application of Variance Ratio Test and ARIMA Modeling -- The Capital Asset Pricing Model: An Empirical Testing in Indian Context -- Empirical Testing of Indian Stock Market: A Study of Non-Specified Shares -- Empirical Tests of the Efficiency of Indian Stock Market -- Indian Stock Market Efficiency, Risk-Return Preference and Investment Strategy: An Analysis from Investors Perspective -- Distribution of Risk and Return: A Test of Normality in Indian Stock Market -- Empirical Analysis of Conditional Heteroskedasticity in Time Series of Stock Returns and Asymmetric Effect on Volatility -- Asymmetric Volatility and Cross Correlations in Stock Returns under Risk and Uncertainty -- Assessment of Risk and Return: An Indian Experience -- Portfolio Performance in Relation to Risk and Return, and Effect of Diversification: A Test of Market Efficiency -- Portfolio Performance in Relation to Price Earning Ratio: A test of Efficiency under Different Economic Conditions -- Risk-Return Relationship and Effect of Diversification on Non-Market Risk: Application of Market Index Model in Indian Stock Market -- Mean-Variance Approach in Portfolio Selection: A Test of Optimization Under Different Economic Conditions. Tipo de medio : Computadora Summary : This book discusses capital markets and investment decision-making, focusing on the globalisation of the world economy. It presents empirically tested results from Indian and Southwest Asian stock markets and offers valuable insights into the working of Indian capital markets. The book is divided into four parts: the first part examines capital-market operations, particularly clearance and settlement processes, and stock market operations. The second part then addresses the functioning of global markets and investment decisions; more specifically it explores calendar anomalies, dependencies, overreaction effect, causality effect and stock returns volatility in South Asia, U.S. and global stock markets as a whole. Part three covers issues relating to capital structure, values of firm and investment strategies. Lastly, part four discusses emerging issues in finance like behavioral finance, Islamic finance, and international financial reporting standards. The book fillsthe gap in the existing finance literature and helps fund managers and individual investors make more accurate investment decisions. Enlace de acceso : https://link-springer-com.biblioproxy.umanizales.edu.co/referencework/10.1007/97 [...] Capital Markets and Investment Decision Making [documento electrónico] / Dhankar, Raj S., . - 1 ed. . - New Delhi [India] : Springer, 2019 . - XVIII, 355 p. 40 ilustraciones, 15 ilustraciones en color.
ISBN : 978-81-322-3748-8
Libro disponible en la plataforma SpringerLink. Descarga y lectura en formatos PDF, HTML y ePub. Descarga completa o por capítulos.
Idioma : Inglés (eng)
Palabras clave: Mercado capital Industria de servicios financieros Gestion de riesgos financieros Macroeconómica Los mercados de capitales Servicios financieros Gestión de riesgos MacroeconomÃa y economÃa monetaria Clasificación: 332.0415 Resumen: Este libro analiza los mercados de capitales y la toma de decisiones de inversión, centrándose en la globalización de la economÃa mundial. Presenta resultados probados empÃricamente de los mercados bursátiles de la India y el suroeste de Asia y ofrece información valiosa sobre el funcionamiento de los mercados de capital indios. El libro se divide en cuatro partes: la primera examina las operaciones del mercado de capitales, en particular los procesos de compensación y liquidación, y las operaciones del mercado de valores. La segunda parte aborda luego el funcionamiento de los mercados globales y las decisiones de inversión; más especÃficamente, explora las anomalÃas del calendario, las dependencias, el efecto de reacción exagerada, el efecto de causalidad y la volatilidad de los rendimientos de las acciones en el sur de Asia, Estados Unidos y los mercados bursátiles mundiales en su conjunto. La tercera parte cubre cuestiones relacionadas con la estructura de capital, los valores de las empresas y las estrategias de inversión. Por último, la cuarta parte analiza cuestiones emergentes en las finanzas, como las finanzas conductuales, las finanzas islámicas y las normas internacionales de información financiera. El libro llena el vacÃo en la literatura financiera existente y ayuda a los administradores de fondos y a los inversores individuales a tomar decisiones de inversión más precisas. Nota de contenido: Redesigning of the Clearance and Settlement Process in the Indian Capital markets -- Redesigning of Clearance and Settlement Process and its Impact on its Performance in the Indian Equity market -- Enabling Clearance and Settlement Process Redesign: A Study of the Indian Equity Market -- Forecasting Exchange Rate: A Time Series Analysis -- Antecedents of Clearance and Settlement Process Redesign: A Case of Indian Capital Markets -- Clearance and Settlement Process: The Path Travelled and the Way Forward -- Are there Calendar Anomalies in the Bourses of South Asia? -- Merger and Acquisitions in India – A Changing Scenario and its New Evaluation Paradigm -- Cost of Capital, Optimal Capital Structure and Value of Firm: An Empirical Study of Indian Companies -- An Appraisal of Capital Budgeting Decision Mechanism in Indian Corporates -- Foreign Direct Investment in the Changing Global Scenario and its Implications for Developing Countries -- The Cost of Capital, Capital Structure, Dividend Policyand Value of Firm: Three Decades Later -- Relevance of Capital Asset Pricing Model in Indian Stock Market -- Non-Linearties and Garch Effects in the Emerging Stock Markets of South Asia -- Dependencies in Stock Markets of South Asia: India, Sri Lanka and Pakistan -- Application of CAPM in the Indian Stock Market: A Comprehensive Reassessment -- Arbitrage Pricing Theory and the Capital Asset Pricing Model- Evidence from the Indian Stock Market -- Testing of Stock Price Behaviour in Indian Markets: An Application of Variance Ratio Test and ARIMA Modeling -- The Capital Asset Pricing Model: An Empirical Testing in Indian Context -- Empirical Testing of Indian Stock Market: A Study of Non-Specified Shares -- Empirical Tests of the Efficiency of Indian Stock Market -- Indian Stock Market Efficiency, Risk-Return Preference and Investment Strategy: An Analysis from Investors Perspective -- Distribution of Risk and Return: A Test of Normality in Indian Stock Market -- Empirical Analysis of Conditional Heteroskedasticity in Time Series of Stock Returns and Asymmetric Effect on Volatility -- Asymmetric Volatility and Cross Correlations in Stock Returns under Risk and Uncertainty -- Assessment of Risk and Return: An Indian Experience -- Portfolio Performance in Relation to Risk and Return, and Effect of Diversification: A Test of Market Efficiency -- Portfolio Performance in Relation to Price Earning Ratio: A test of Efficiency under Different Economic Conditions -- Risk-Return Relationship and Effect of Diversification on Non-Market Risk: Application of Market Index Model in Indian Stock Market -- Mean-Variance Approach in Portfolio Selection: A Test of Optimization Under Different Economic Conditions. Tipo de medio : Computadora Summary : This book discusses capital markets and investment decision-making, focusing on the globalisation of the world economy. It presents empirically tested results from Indian and Southwest Asian stock markets and offers valuable insights into the working of Indian capital markets. The book is divided into four parts: the first part examines capital-market operations, particularly clearance and settlement processes, and stock market operations. The second part then addresses the functioning of global markets and investment decisions; more specifically it explores calendar anomalies, dependencies, overreaction effect, causality effect and stock returns volatility in South Asia, U.S. and global stock markets as a whole. Part three covers issues relating to capital structure, values of firm and investment strategies. Lastly, part four discusses emerging issues in finance like behavioral finance, Islamic finance, and international financial reporting standards. The book fillsthe gap in the existing finance literature and helps fund managers and individual investors make more accurate investment decisions. Enlace de acceso : https://link-springer-com.biblioproxy.umanizales.edu.co/referencework/10.1007/97 [...] Contemporary Trends and Challenges in Finance / Jajuga, Krzysztof ; Locarek-Junge, Hermann ; Orlowski, Lucjan T. ; Staehr, Karsten
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PermalinkPermalinkEl stock y los servicios del capital en España y su distribución territorial (1964-2012) CNAE-2009. Documentos de Trabajo, no. 1 / Pérez GarcÃa, Francisco. ; Uriel JimeÌnez, Ezequiel ; Mas Ivars, Matilde ; Benagues Candau, Eva
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PermalinkEl stock y los servicios del capital en España y su distribución territorial y sectorial (1964-2010). Documentos de Trabajo, no. 4, 2011 / Pérez GarcÃa, Francisco. ; Uriel JimeÌnez, Ezequiel ; Mas Ivars, Matilde ; Benagues Candau, Eva
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PermalinkPermalinkPermalinkForeign Capital Flows and Economic Development in Africa / Wamboye, Evelyn ; Tiruneh, Esubalew Alehegn
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