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Market Data Explained: A Practical Guide to Global Capital Markets Information. - Couverture souple

 
9780080973944: Market Data Explained: A Practical Guide to Global Capital Markets Information.

Synopsis

This book is intended to provide a guide to the universe of data content produced by the global capital markets on a daily basis. Commonly referred to as "market data", the universe of content is very wide and the type of information correspondingly diverse. Jargon and acronyms are very common. As a result, users of marker data typically face difficulty in applying the content in analysis and business applications. This guide provides an independent framework for understanding this diversity and streamlining the process of referring to content and how it relates to today's business environment. The book achieves this goal by providing a consistent frame of reference for users of market data. As such, it is built around the concept of a data model - a single, coherent view of the capital markets independent of any one source, such as an exchange. In particular it delineates clearly between the actual data content and how it is delivered (i. e. realtime data streams versus reference data). It shows how the data relates across the universe of securities (i. e. stocks, bonds, derivatives etc). In this way it provides a logical framework for understanding how new content can be added over time as the business develops. Special features: 1. Uniqueness - this is the first comprehensive catalog and taxonomy to be made available for a business audience 2. Industry Acceptance - the framework described in this book is implemented as a relational data model in the industry today and used by blue chip multinational firms 3. Comprehensiveness - there are no arbitrary distinctions made based on asset class or data type (the legacy approach). The model presented in this book is fully cross asset and makes no distinction between data types (i. e. realtime versus historical/reference data) or sources 4. Independence - the framework is an independent, objective ov

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Présentation de l'éditeur

This book is intended to provide a guide to the universe of data content produced by the global capital markets on a daily basis. Commonly referred to as "market data", the universe of content is very wide and the type of information correspondingly diverse. Jargon and acronyms are very common. As a result, users of marker data typically face difficulty in applying the content in analysis and business applications. This guide provides an independent framework for understanding this diversity and streamlining the process of referring to content and how it relates to today's business environment. The book achieves this goal by providing a consistent frame of reference for users of market data. As such, it is built around the concept of a data model - a single, coherent view of the capital markets independent of any one source, such as an exchange. In particular it delineates clearly between the actual data content and how it is delivered (i. e. realtime data streams versus reference data). It shows how the data relates across the universe of securities (i. e. stocks, bonds, derivatives etc). In this way it provides a logical framework for understanding how new content can be added over time as the business develops. Special features: 1. Uniqueness - this is the first comprehensive catalog and taxonomy to be made available for a business audience 2. Industry Acceptance - the framework described in this book is implemented as a relational data model in the industry today and used by blue chip multinational firms 3. Comprehensiveness - there are no arbitrary distinctions made based on asset class or data type (the legacy approach). The model presented in this book is fully cross asset and makes no distinction between data types (i. e. realtime versus historical/reference data) or sources 4. Independence - the framework is an independent, objective ov

Biographie de l'auteur

Marc Alvarez is Executive Vice President, Products & Marketing, at TAP Solutions Inc. a financial software firm headquartered in Vancouver, BC, Canada, with clients worldwide. He is a veteran of over twenty years in the financial information industry, spent between London, New York, Toronto and now the West Coast. At TAP he leads all research & development, product management and strategic marketing activities, with particular focus on automating and streamlining the acquisition, management, and application of capital markets content for financial services firms.

Les informations fournies dans la section « A propos du livre » peuvent faire référence à une autre édition de ce titre.

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9780750680554: Market Data Explained: A Practical Guide to Global Capital Markets Information

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ISBN 10 :  0750680555 ISBN 13 :  9780750680554
Editeur : Butterworth-Heinemann Ltd, 2006
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Marc Alvarez
Edité par Butterworth-Heinemann, 2014
ISBN 10 : 0080973949 ISBN 13 : 9780080973944
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