Post on 10-Feb-2018
BIBLIOTECA NUEVAS ADQUISICIONES REA FINANZAS No. 5/2010
Bruner, R., Eades, K. & Schill, M. (2010). Case Studies in Finance:
managing for Coporate Value Creation. Boston: McGraw-Hill: Irwin. 727 p.
ISBN 978-0-07-338245-0. [658.15 / B894c 2010] (1 ejemplar)
Contents
1. Setting some themes
2. Financial analysis and forecasting
3. Estimating the cost of capital
4. Capital budgeting and resource allocation
5. Management of the firm's equity: dividends, repurchases, initial offerings
6. Management of the corporate capital structure
7. Analysis of financing tactics: leases, options, and foreign currency
8. Valuing the enterprise: acquisitions and buyouts
Baxter, M. & Rennie, A. (2001). Financial Calculus: An Introduction to
Derivative Pricing. New York: Cambridge University Press. 233 p. ISBN
978-0-521-55289-3. [332.63221 / B355f 2001] (1 ejemplar)
Contents
1. Introduction
2. Discrete processes
3. Continuous processes
4. Pricing market securities
5. Interest rates
6. Bigger models
Brooks, C. (2008). Introductory Econometrics for Finance. New York:
Cambridge University Press. 648 p. ISBN 978-0-521-69468-1.
[332.015195 / B873i 2008] (1 ejemplar)
Contents
1. Introduction
2. A brief overview of the classical linear regression model
3. Further development and analysis of the classical linear regression model
4. Classical linear regression model assumptions and diagnostic tests
5. Univariate time series modelling and forecasting
6. Multivariate models
7. Modelling long-run relationships in finance
8. Modelling volatility and correlation
9. Switching models
10. Panel data
11. Limited dependent variable models
12. Simulation methods
13. Conducting empirical research or doing a project or dissertation in
finance
14. Recent and future developments in the modelling of financial time series
BIBLIOTECA NUEVAS ADQUISICIONES REA FINANZAS No. 5/2010
Butler, K. (2008). Multinational Finance. Londres: John Wiley & Sons, Ltd..
584 p. ISBN 978-1-405-18118-1. [658.15 / B985m 2008] (1 ejemplar)
Table of contents
Chapter 1 The international financial environment
Chapter 2 Derivative securities for financial risk management
Chapter 3 Managing the risks of multinational operations
Chapter 4 Valuation and the structure of multinational operations
Chapter 5 Valuation and the structure of multinational operations
Caouette, J., Altman, E., Narayanan, P. & Nimmo, R. (2008). Managing credit risk: the great challenge for global financial markets (2a. ed.).
Hoboken, NJ: John Wiley & Sons. 627 p. ISBN 978-0-470-11872-6. [332.7
/ C235m 2008] (1 ejemplar)
CONTENIDO
CHAPTER 1: Credit risk: the great challenge for the global economy
CHAPTER 2: Credit Culture
CHAPTER 3: Classic industry players: banks, savings institutions, insurance:
companies, finance companies, and special purpose entities
CHAPTER 4: The portfolio managers: investment managers, mutual funds,
pension funds, and hedge funds
CHAPTER 5: Structural hubs: clearinghouses, derivate. Product companies
and exchanges
CHAPTER 6: The rating agencies
CHAPTER 7: Classic credit analysis
CHAPTER 8: Asset-based lending and lease finance
CHAPTER 9: Introduction to credit risk models
CHAPTER 10: Credit risk models based upon accounting data and market
values
CHAPTER 11: Corporate credit risk models based on stock price
CHAPTER 12: Consumer finance models
CHAPTER 13: Credit models for small business, real estate, and financial
institutions
CHAPTER 14: Testing and implementation of credit risk models
CHAPTER 15: About corporate default rates
CHAPTER 16: Default recovery rates and LGD in credit risk modeling and
practice
CHAPTER 17: Credit risk migration
CHAPTER 18: Introduction to portfolio approaches
CHAPTER 19: Economic capital and capital allocation
CHAPTER 20: Application of portfolio approaches
CHAPTER 21: Credit derivatives
CHAPTER 22: Counterparty risk
CHAPTER 23: Country risk models
CHAPTER 24: Structured finance
CHAPTER 25: New markets, new players, new ways to play
CHAPTER 26: Market chaos and a reversion to the mean: the rediscovery of
culture as a critical risk management tool
BIBLIOTECA NUEVAS ADQUISICIONES REA FINANZAS No. 5/2010
Cohen, G. (2005). The Bible of Options Strategies: The Definitive Guide for
Practical Trading Strategies. New Jersey: FT Press. 356 p. ISBN 0-13-
17166-4. [332.1 / C678b 2005] (1 ejemplar)
Contents
1 The four basic options strategies
2 Income strategies
3 Vertical spreads
4 Volatility strategies
5 Sideways strategies
6 Leveraged strategies
7 Synthetic strategies
8 Taxation for stock and options traders
Di Lorenzo, R. (2009). Ganar en bolsa: todo lo que sirve para invertir con
profesionalidad, seguridad y autonoma. Madrid: Daz de Santos. 499 p.
ISBN 978-84-7978-932-9. [332.64 / D579g 2009] (1 ejemplar)
NDICE
PARTE PRIMERA qu comprar y qu vender
PARTE SEGUNDA cundo comprar y vender
PARTE TERCERA cmo comprar y vender
PARTE CUARTA cunto comprar y vender PARTE QUINTA en qu medida es posible confiarse
Foster Reed, S., Reed Lajoux, A. & Nesvold, H. (2007). The Art of M & A:
a merger, acquisition, buyout guide. New York: McGraw Hill. 1.069 p. ISBN
978-0-07-140302-3. [332.678 / F754a 2007] (1 ejemplar)
CONTENTS
Chapter 1 Getting Started in Mergers and Acqusitions
Chapter 2 Planning and Finding
Chapter 3 Valuation and Pricing
Chapter 4 The Art of Financing and Refinancing
Chapter 5 Structuring Transactions: General, Tax, and Accounting
Considerations
Chapter 6 The Due Diligence Inquiry
Chapter 7 Negotiating the Acquisition Agreement and the Letter of Intent
Chapter 8 Closing
Chapter 9 Postmerger Integration and Divestitures
Chapter 10 Special Issues for M&A in Public Companies
Chapter 11 Workouts, Bankruptcies, and Liquidations
Chapter 12 Structuring Transactions with International Aspects
BIBLIOTECA NUEVAS ADQUISICIONES REA FINANZAS No. 5/2010
Ghemawat, P. (2008). Redefiniendo la Globalizacin: la importancia de las
diferencias en un mundo globalizado. Barcelona: Ed. Deusto. 346 p. ISBN
978-84-234-2606-5. [658.4012 / G341r 2008] (1 ejemplar)
ndice
Primera parte: El valor en un mundo diferente
Segunda parte: Estrategia para la creacin del valor global
Hill, G. (2008). The complete project Management Office Handbook (2a.
ed.). New York: Auerbach Publications. 714 p. ISBN 1-4200-4680-2.
[658.404 / H645c 2008] (1 ejemplar)
CONTENTS
SECTION I: PRACTICE MANAGEMENT
1 project management methodology
2 project management tools
3 standards and metrics
4 project knowledge management
SECTION II: INFRASTRUCTURE MANAGEMENT
5 project governance
6 assessments
7 organization and structure
8 facilities and equipment support
9 resource management
10 training and education
11 career development
12 team development
13 mentoring
14 project planning
15 project auditing
16 project recovery
17 project portfolio management
18 customer relationship management
19 vendor/contractor relationship management
20 business performance management
BIBLIOTECA NUEVAS ADQUISICIONES REA FINANZAS No. 5/2010
Hillier, D., Grinblatt, M. & Titman, S. (2008). Financial markets and
corporate strategy. New York: McGraw-Hill. 915 p. ISBN 9780077119027.
[658.15 / H654f 2008] (1 ejemplar)
Contents
Chapter 1 Introduction
Chapter 2 Discrete processes
Chapter 3 Continuous processes
Chapter 4 Pricing market securities
Chapter 5 Interest rates
Chapter 6 Bigger models
Hobbs, B. & Aubry, M. (2010). The Project Management Office (PMO): a
Quest for Undestanding: Final Reseach Report. Newton Square, PE: Project
Management Institute. 196 p. ISBN 978-1-933890-97-5. [658.404 /
H682p 2010] (1 ejemplar)
Contents
Chapter one: introduction
Chapter two: a descriptive portrait of PMOs
Chapter three: an empirically grounded search for a typology
Chapter four: the in-depth investigation of PMOs
Chapter five: the process side of PMOs
Chapter six: conclusion
Kester, W., Ruback, R. & Tufano, P. (2005). Case Problems in Finance
(12a. ed.). New York: McGraw Hill/Irwin. 806 p. ISBN 0-07-294551-6.
[658.15 / K428c 2005] (1 ejemplar)
CONTENTS
PART ONE Financing current operations
PART TWO Capital structure, long- term financing, and risk management
PART THREE Valuation and investment
PART FOUR Review and synthesis
BIBLIOTECA NUEVAS ADQUISICIONES REA FINANZAS No. 5/2010
Kumar, S. & Meade, D. (2007). Financial models and tools for managing
lean manufacturing. New York: Auerbach Publications. 197 p. ISBN 0-
8493-9185-7. [658.401 / K963f 2007] (1 ej