Exploring the intricate relationship between financial innovation and economic efficiency, this book delves into the essential skills needed for financial engineers, including optimization and modeling techniques. It draws on foundational studies from renowned scholars to provide a comprehensive examination of innovative financial products and derivative pricing. Additionally, the text addresses empirical research that supports financial innovation theories while debunking common misconceptions about performance evaluation models, making it a valuable resource for understanding modern finance.
G. V. Satya Sekhar Knihy


The Management of Mutual Funds
- 192 stránek
- 7 hodin čtení
This book provides insight into the multi-dimensional process of coordinating and supervising mutual funds. This book focuses on the management of mutual funds within financial markets, with an emphasis on how corporate governance and benchmarking influence asset and portfolio management. Chapters explore four important aspects of this process in particular detail: corporate governance, benchmarking, asset management and portfolio management. The author shows that the mutual fund industry provides wider access to payment systems and to a savings safety-net that operates similarly to deposit insurance. Furthermore, he demonstrates that the Indian government’s focus is on establishing the right of every person to have access to affordable basic financial services offered by banks and non-banks.