Synopses & Reviews
The Palgrave Macmillan Dictionary of Finance, Investment and Banking helps you understand and use financial language with more ease and confidence.
Compiled by a finance professional with real-world experience on three continents, it is a highly practical reference book containing the essential terminology of today's international financial marketplace. It gives concise and clear definitions of well over 5,000 terms commonly used in the industry, covering the disciplines of accounting, banking, corporate finance, investment management and insurance.
This dictionary includes:
New terminology, reflecting developments following the global financial crisis
'Hot topics' of Islamic finance, bank regulation, carbon/emissions trading, business law/bankruptcy and structured products.
International coverage, with terminology used in Europe, Asia and the USA
Technical and non-technical terms, colloquialisms, acronyms and foreign language terms
190 essential formulae and 50 diagrams to aid understanding
Companion website with extra features and information:
www.palgrave.com/banks
Synopsis
This dictionary covers the terminology of the international financial marketplace. It provides concise and rigorous definitions of over 5,000 terms used in the accounting, banking, corporate finance, investment management and insurance disciplines. It also includes formulae and diagrams, as well as commonly used acronyms and colloquialisms.
Synopsis
The Palgrave Macmillan Dictionary of Finance, Investment and Banking helps you understand and use financial language with more ease and confidence.
Compiled by a finance professional with real-world experience on three continents, it is a highly practical reference book containing the essential terminology of today's international financial marketplace. It gives concise and clear definitions of well over 5,000 terms commonly used in the industry, covering the disciplines of accounting, banking, corporate finance, investment management and insurance.
This dictionary includes:
• New terminology, reflecting developments following the global financial crisis
• 'Hot topics' of Islamic finance, bank regulation, carbon/emissions trading, business law/bankruptcy and structured products.
• International coverage, with terminology used in Europe, Asia and the USA
• Technical and non-technical terms, colloquialisms, acronyms and foreign language terms
• 190 essential formulae and 50 diagrams to aid understanding
Companion website with extra features and information:
www.palgrave.com/banks
Synopsis
Includes companion website with extra features and information.
About the Author
ERIK BANKS is responsible for risk management within the Corporate and Investment Bank at the European universal bank UniCredit. Over the past 23 years he has held senior risk positions at Citibank, Merrill Lynch and in the hedge fund sector, in New York, Tokyo, Hong Kong, London and Munich. He is the author of more than 20 books on risk, derivatives, emerging markets and governance.
Table of Contents
Acknowledgements
The Author
Summary of Colloquialisms, Foreign Terms, and Acronyms
Introduction
Numeric
Entries A-Z
Selected References