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  • © 2010

Dictionary of Finance, Investment and Banking

Palgrave Macmillan

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eBook USD 119.00
Price excludes VAT (USA)
  • ISBN: 978-0-230-25121-2
  • Instant PDF download
  • Readable on all devices
  • Own it forever
  • Exclusive offer for individuals only
  • Tax calculation will be finalised during checkout
Hardcover Book USD 159.99
Price excludes VAT (USA)

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Table of contents (27 chapters)

  1. Front Matter

    Pages i-xxxi
  2. Numeric

    • Erik Banks
    Pages 1-2
  3. A

    • Erik Banks
    Pages 3-38
  4. B

    • Erik Banks
    Pages 39-73
  5. C

    • Erik Banks
    Pages 74-137
  6. D

    • Erik Banks
    Pages 138-171
  7. E

    • Erik Banks
    Pages 172-199
  8. F

    • Erik Banks
    Pages 200-233
  9. G

    • Erik Banks
    Pages 234-250
  10. H

    • Erik Banks
    Pages 251-258
  11. I

    • Erik Banks
    Pages 259-287
  12. J

    • Erik Banks
    Pages 288-290
  13. K

    • Erik Banks
    Pages 291-293
  14. L

    • Erik Banks
    Pages 294-315
  15. M

    • Erik Banks
    Pages 316-342
  16. N

    • Erik Banks
    Pages 343-360
  17. O

    • Erik Banks
    Pages 361-374
  18. P

    • Erik Banks
    Pages 375-415
  19. Q

    • Erik Banks
    Pages 416-418
  20. R

    • Erik Banks
    Pages 419-454

About this book

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, and investment management and insurance disciplines. It also includes formulae and diagrams, as well as commonly used acronyms and colloquialisms.

Keywords

  • accounting
  • bank
  • banking
  • corporate finance
  • insurance
  • investment
  • management
  • investments and securities

Reviews

'This practical, easy-to-use reference will be a valuable resource for academic libraries supporting financial courses and for public libraries supporting the financial sector of the business world.' - Choice Reviews

About the author

ERIK BANKSĀ 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.

Bibliographic Information

Buying options

eBook USD 119.00
Price excludes VAT (USA)
  • ISBN: 978-0-230-25121-2
  • Instant PDF download
  • Readable on all devices
  • Own it forever
  • Exclusive offer for individuals only
  • Tax calculation will be finalised during checkout
Hardcover Book USD 159.99
Price excludes VAT (USA)