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Research Handbook of Financial Markets

Posted By: readerXXI
Research Handbook of Financial Markets

Research Handbook of Financial Markets
by Refet S. Gürkaynak, Jonathan H. Wright
English | 2023 | ISBN: 180037531X | 533 Pages | True PDF | 8.3 MB

Demystifying ICT: What Every ICT Trader Still Wants To Know

Posted By: readerXXI
Demystifying ICT: What Every ICT Trader Still Wants To Know

Demystifying ICT: What Every ICT Trader Still Wants To Know
Hopiplaka
English | 2023 | ISBN: n/a | 74 Pages | True PDF | 1.78 MB

The Financial Markets of Roman Egypt: Risk and Return

Posted By: ksveta6
The Financial Markets of Roman Egypt: Risk and Return

The Financial Markets of Roman Egypt: Risk and Return (Liverpool Studies in Ancient History) by Paul V. Kelly
2023 | ISBN: 1802078339 | English | 232 pages | True PDF | 9 MB

Financial Markets Theory: Equilibrium, Efficiency and Information

Posted By: AvaxGenius
Financial Markets Theory: Equilibrium, Efficiency and Information

Financial Markets Theory: Equilibrium, Efficiency and Information by Emilio Barucci
English | PDF | 2003 | 473 Pages | ISBN : 1447110935 | 50.26 MB

Financial Markets Theory presents classical asset pricing theory, a theory composed of milestones such as portfolio selection, risk aversion, fundamental asset pricing theorem, portfolio frontier, CAPM, CCAPM, APT, the Modigliani-Miller Theorem, no arbitrage/risk neutral evaluation and information in financial markets. Starting from an analysis of the empirical tests of the above theories, the author provides a discussion of the most recent literature, pointing out the main advancements within classical asset pricing theory and the new approaches designed to address open problems (e.g. behavioural finance).

Bear Markets: When Finance Turns Upside Down

Posted By: IrGens
Bear Markets: When Finance Turns Upside Down

Bear Markets: When Finance Turns Upside Down by David Kauders
English | February 2016 | ISBN: 1907230637, 1907230572 | True EPUB | 128 pages | 1.7 MB

States and the Masters of Capital: Sovereign Lending, Old and New

Posted By: IrGens
States and the Masters of Capital: Sovereign Lending, Old and New

States and the Masters of Capital: Sovereign Lending, Old and New (Columbia Studies in International Order and Politics) by Quentin Bruneau
English | December 13, 2022 | ISBN: 023120468X, 0231204698 | True PDF | 240 pages | 2.4 MB

An Introduction to Transfer Entropy: Information Flow in Complex Systems

Posted By: AvaxGenius
An Introduction to Transfer Entropy: Information Flow in Complex Systems

An Introduction to Transfer Entropy: Information Flow in Complex Systems by Terry Bossomaier, Lionel Barnett, Michael Harré, Joseph T. Lizier
English | PDF(True) | 2016 | 210 Pages | ISBN : 3319432214 | 4.5 MB

This book considers a relatively new metric in complex systems, transfer entropy, derived from a series of measurements, usually a time series. After a qualitative introduction and a chapter that explains the key ideas from statistics required to understand the text, the authors then present information theory and transfer entropy in depth. A key feature of the approach is the authors' work to show the relationship between information flow and complexity. The later chapters demonstrate information transfer in canonical systems, and applications, for example in neuroscience and in finance.

Casino Capitalism

Posted By: IrGens
Casino Capitalism

Casino Capitalism by Susan Strange
English | December 1, 2015 | ISBN: 1784992658, 1784991341 | True EPUB/PDF | 240 pages | 1.3/4.5 MB

Innovation and Financial Markets, Volume 7

Posted By: AvaxGenius
Innovation and Financial Markets, Volume 7

Innovation and Financial Markets, Volume 7 by Christophe Dispas, Georges Kayanakis, Nicolas Servel, Ludmila Striukova
English | PDF(True) | 2021 | 195 Pages | ISBN : 1786300664 | 6.09 MB

Combining insights from academic research and practical examples, this book aims to better understand the link between financial markets and innovation management. First, we are back to the very definition of innovation and what it means for financial and non-financial companies. Then, we analyze if efficient innovation management by companies is recognized and valued by financial markets. Finally, we focus on innovation within the financial sector: does it really create value outside the financial sector itself. Are Financial innovations value … or risk creators?

Permanent Distortion: How the Financial Markets Abandoned the Real Economy Forever

Posted By: sasha82
Permanent Distortion: How the Financial Markets Abandoned the Real Economy Forever

Permanent Distortion: How the Financial Markets Abandoned the Real Economy Forever by Nomi Prins
2022 | ISBN: 1541789067 | English | 352 pages | EPUB | 3.6 MB

Investing Through the Looking Glass: A Rational Guide to Irrational Financial Markets

Posted By: IrGens
Investing Through the Looking Glass: A Rational Guide to Irrational Financial Markets

Investing Through the Looking Glass: A Rational Guide to Irrational Financial Markets by Tim Price
English | November 7, 2016 | ISBN: 0857195360 | True EPUB | 236 pages | 0.9 MB

Indexation and Causation of Financial Markets

Posted By: AvaxGenius
Indexation and Causation of Financial Markets

Indexation and Causation of Financial Markets by Yoko Tanokura, Genshiro Kitagawa
English | PDF | 2015 | 110 Pages | ISBN : 4431552758 | 9.5 MB

This book presents a new statistical method of constructing a price index of a financial asset where the price distributions are skewed and heavy-tailed and investigates the effectiveness of the method. In order to fully reflect the movements of prices or returns on a financial asset, the index should reflect their distributions. However, they are often heavy-tailed and possibly skewed, and identifying them directly is not easy.

The Economic Function of a Stock Exchange (Repost)

Posted By: AvaxGenius
The Economic Function of a Stock Exchange (Repost)

The Economic Function of a Stock Exchange by Robert A. Schwartz, John Aidan Byrne, Lauren Wheatley
English | PDF | 2015 | 155 Pages | ISBN : 3319103490 | 2.2 MB

In recent years, exchanges on both sides of the Atlantic have been extensively reengineered, and their organizational structures have changed from non-profit, membership organizations to for-profit, demutualized organizations. Concurrently, new alternative trading systems have emerged and the traditional functions of broker/dealer firms have evolved. How have these changes affected the delivery of that mission? How has the efficiency of capital raising in the IPO market been impacted? These are among the key questions addressed in this book, titled after the Baruch College Conference, The Economic Function of a Stock Market. Featuring contributions from a panel of scholars, academicians, policymakers, and industry leaders, this volume examines current issues affecting market quality, including challenges in the marketplace, growth opportunities, and IPO capital raising in the global economy.

Artificial Intelligence for Financial Markets: The Polymodel Approach

Posted By: AvaxGenius
Artificial Intelligence for Financial Markets: The Polymodel Approach

Artificial Intelligence for Financial Markets: The Polymodel Approach by Thomas Barrau
English | EPUB | 2022 | 182 Pages | ISBN : 3030973182 | 18.2 MB

This book introduces the novel artificial intelligence technique of polymodels and applies it to the prediction of stock returns. The idea of polymodels is to describe a system by its sensitivities to an environment, and to monitor it, imitating what a natural brain does spontaneously. In practice this involves running a collection of non-linear univariate models. This very powerful standalone technique has several advantages over traditional multivariate regressions. With its easy to interpret results, this method provides an ideal preliminary step towards the traditional neural network approach.

Financial Markets (Dis)Integration in a Post-Brexit EU: Towards a More Resilient Financial System in Europe (Repost)

Posted By: AvaxGenius
Financial Markets (Dis)Integration in a Post-Brexit EU: Towards a More Resilient Financial System in Europe (Repost)

Financial Markets (Dis)Integration in a Post-Brexit EU: Towards a More Resilient Financial System in Europe by Dieter Pesendorfer
English | PDF | 2020 | 377 Pages | ISBN : 3030360512 | 3.2 MB

The European Union is creating a Financial Union with a European Banking Union and a Capital Markets Union in reaction to lessons learned from incomplete financial markets integration, the Global Financial Crisis and European Sovereign Debt Crisis. This book critically analyses these projects for a more integrated, resilient and sustainable financial system at a time when the United Kingdom as the member state with the most developed capital markets and the leading global and European financial center, the City of London, is leaving the Union.