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J.P. Morgan, 2019. — 24 p. Foreword. Macroeconomic outlook . Why the global economy — and markets — still have room to run. Alternative asset allocation . Beyond the traditional lies a world of alternatives. Hedge funds . Opportunities in sustainability, next-generation digital and value. Private infrastructure equity and debt . Concentrating on the core. Transport . Increasing...
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Hoboken: John Wiley & Sons Ltd, 2004. - 437 p. Compound Interest Fixed-interest Bonds Equities and Real Estate Real Returns Index-linked Bonds Foreign Currency Investments Derivative Securities Describing Investment Data Modeling Investment Returns Estimating Parameters and Hypothesis Testing Measuring and Testing Comovements in Returns Modern Portfolio Theory and Asset Pricing...
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Elsevier, 2005. — 444 p. The requirement to maximise value for shareholders is at the core of any corporate investment or financing decision. The intrinsic value of proposed investments should be assessed before deciding how much capital to allocate; the benefits and risks associated with each available source of finance should be considered when capital is being raised; and...
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McGraw-Hill Education, 2014. — 256 p. After examining more than two-hundred years of data across dozens of markets and asset classes, the conclusion is clear: Momentum continually outperforms. However, most investors haven't had a way to fully discover and implement momentum investing... until now! Whether you're an independent investor, investment professional, or money...
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FT Press, 2007. — 375 p. In this book, you are shown which investments provide the best returns in varying economic climates, how to recognize and take advantage of investment opportunities overseas as well as investment opportunities within the United States. Specific strategies for identifying the strongest mutual funds and stock market sectors are provided, as well as...
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2nd edition. — Jaico Publishing House, 2021. — 372 p. — ISBN: 978-93-86867-67-4. A common man’s guide to stock investing. Stocks offer magnificent wealth-creation opportunities. Are you ready to test the waters? Stocks are simple, yet powerful investment tools. But lack of knowledge, patience, and faith make them a dangerous gamble. And so, people dread entering the stock...
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Wiley, 2013. — 544 p. — ISIN 978-1118278444. A comprehensive guide to the dynamic area of finance known as market microstructure Interest in market microstructure has grown dramatically in recent years due largely in part to the rapid transformation of the financial market environment by technology, regulation, and globalization. Looking at market transactions at the most...
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Oxford University Press, 2017. — 696 p. — ISBN: 9780190607388. Hedge Funds: Structure, Strategies, and Performance provides a synthesis of the theoretical and empirical literature on this intriguing, complex, and frequently misunderstood topic. The book dispels some common misconceptions of hedge funds, showing that they are not a monolithic asset class but pursue highly...
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Wiley, 2012. – 515 p. – ISBN: 1118100093, 1118223756, 9781118100097, 9781118223758 A detailed look at the role of social responsibility in finance and investing The concept of socially responsible finance and investing continues to grow, especially in the wake of one of the most devastating financial crises in history. This includes responsibility from the corporate side...
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Irwin Professional Pub, 1988. — 228 p. — ISBN: 978-1556230875. Surveys the psychology of investing, identifies emotional obstacles to success, and describes how to avoid common misconceptions about the stock market.
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2nd ed. — Chicago, Ill. : Chicago Review Press, 2010. — ISBN: 9781569765463. A young person who saves $2,000 each year between the ages of 9 and 14, at an interest rate of 9 percent, will have one million dollars at age 65. And that is just by saving! This guide explains the language of business and the skill of investing, so that children can grow up business-literate and get...
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N.-Y.: McGraw-Hill, 2000. - 296 p. William Bernstein is one of today’s most unlikely financial heroes. A practicing neurologist, he used his self-taught investment knowledge and research to build a popular investor’s website. Now, in the plain-spoken The Intelligent Asset Allocator, he shows independent investors how to build a diversified portfolio — without the help of a...
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Wiley, 2013. — 746 p. — 2 ed. — ISBN: 9781118724675 Looking for help making smarter, more profitable high-end investment decisions? Why buy 13 books that cover each of the major topics you need to understand, when High-Powered Investing All-In-One For Dummies gives you 13 expert guides for the price of one? This hands-on resource arms you with an arsenal of advanced investing...
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Wiley, 2005. — 209 p. Whether you are an investment professional managing billions of dollars or an individual investor with a small nest egg, TrimTabs Investing shows you how to beat the major stock market averages with less risk. This groundbreaking book begins by comparing the stock market to a casino in which the house (public companies and the insiders who run them) buys...
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11th ed. — McGraw-Hill Education, 2017. — 785 p. — ISBN: 1259277178, 9781259277177. The market-leading undergraduate investments textbook, Essentials of Investments by Bodie, Kane, and Marcus, emphasizes asset allocation while presenting the practical applications of investment theory. The authors have eliminated unnecessary mathematical detail and concentrated on the intuition...
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12th edition. — McGraw-Hill Education, 2021. — 1041 p. — ISBN: 978-1-260-57115-8. Investments set the standard as a graduate (MBA) text intended primarily for courses in investment analysis. The guiding principle has been to present the material in a framework that is organized by a central core of consistent fundamental principles and will introduce students to major issues...
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McGraw-Hill Education, 2018. — 1041 p. — ISBN: 1259277178, 9781259277177. The integrated solutions for Bodie, Kane, and Marcus' Investments set the standard for graduate/MBA investment textbooks. The unifying theme is that security markets are nearly efficient, meaning that most securities are priced appropriately given their risk and return attributes. The content places...
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13th edition. — McGraw-Hill Education, 2024. — 1073 p. — ISBN: 978-1-264-41266-2. Investments set the standard as a graduate (MBA) text intended primarily for courses in investment analysis. The guiding principle has been to present the material in a framework that is organized by a central core of consistent fundamental principles and will introduce students to major issues...
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12th edition. — McGraw-Hill Education, 2021. — 1041 p. — ISBN: 978-1-260-57115-8. Investments set the standard as a graduate (MBA) text intended primarily for courses in investment analysis. The guiding principle has been to present the material in a framework that is organized by a central core of consistent fundamental principles and will introduce students to major issues...
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12th ed. — McGraw-Hill Education, 2022. — 742 p. — ISBN: 1265450099, 9781265450090. Eleents of Investents . Investments: Background and Issues. Asset Classes and Financial Instruments. Securities Markets. Mutual Funds and Other Investment Companies. Portfolio Theory . Risk, Return, and the Historical Record. Efficient Diversification. Capital Asset Pricing and Arbitrage Pricing...
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John Wiley & Sons, 2015. — 320 p. John C. Bogle, founder of Vanguard, thoroughly discusses the risks and rewards of investing in mutual funds. He explains how to select among the four basic categories of funds: common stock, bond, money market, and balanced. He argues convincingly that a passively managed "index fund" costs less and is more reliable than a fund managed by...
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By Amine Bouchentouf; Brian Dolan; Dr. Joe Duarte; Mark Galant; Ann C. Logue, MBA; Paul Mladjenovic; Kerry Pechter; Barbara Rockefeller; Peter J. Sander, MBA and Russell Wild, MBA. — Wiley Publishing, 2008 — 786 p. — (For Dummies). The key to successfully expanding your investment opportunities is, of course, information. This book introduces you to high-powered investing...
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3rd Edition. — John Wiley & Sons, 2013. — 368 p. — ISBN: 978-1-118-39013-9. First published in 1972, Inside the Yield Book revolutionized the fixed-income industry and forever altered the way investors looked at bonds. Over forty years later, it remains a standard primer and reference among market professionals. Generations of practitioners, investors, and students have relied...
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John Wiley & Sons, Inc., 2002 The book is a companion to resources and approaches to helping a business in all phases of development. It’s also a great manual for people who want to share their knowledge (and invest capital) as angels. Most angels rely on their entrepreneurial experiences of building businesses to give aid and support to new entrepreneurs. However, the...
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EGEA Spa - Bocconi University Press, 2021. — 648 p. — ISBN: 978-88-99902-76-6. A new book on the relationship between banks and corporations is a challenge that must be accepted: we need to revert the narrative on banks and provide a proper perspective on what they can do for the economy overall. Corporate and Investment Banking is the banking activity that most affects the...
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Perigee Books, 2005. – 288 p. – ISBN: 1436283620, 9781436283625 Chuck Chambers has seen it all in his 22 years as a P.I., working thousands of cases. His hands-on experience and hard-nosed detective work has made him one of the most sought-after private investigators in the business. Here, Chambers shares his insider expertise, with true case histories from his files, tricks of...
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McGraw-Hill Education, 2018. — 189 p. — ISBN: 978-1-26-011754-7. The low-risk, long-term strategy for building a real estate fortune by buying, improving, and managing properties through a third-party. What if you could safely invest in real estate--and enjoy a new flow of income--without giving up your current job or spending thousands of dollars and hours on training? You...
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McGraw-Hill Education, 2018. — 189 p. — ISBN: 978-1-26-011754-7. The low-risk, long-term strategy for building a real estate fortune by buying, improving, and managing properties through a third-party. What if you could safely invest in real estate--and enjoy a new flow of income--without giving up your current job or spending thousands of dollars and hours on training? You...
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McGraw-Hill Education, 2018. — 189 p. — ISBN: 978-1-26-011754-7. The low-risk, long-term strategy for building a real estate fortune by buying, improving, and managing properties through a third-party. What if you could safely invest in real estate--and enjoy a new flow of income--without giving up your current job or spending thousands of dollars and hours on training? You...
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2nd edition. — Wiley, 2011. — 160 p. — ISBN: 0470926554. Hedge fund managers are the new "masters of the universe." The best earn more than $1 billion a year and are so sought after that they can afford to turn investor money away. The funds they run have, to some extent, established an alternative financial system, replacing banks as lenders to risky companies, acting as...
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McGraw-Hill Education, 2014. — 256 p. —ISBN: 0071800727, 9780071800723 This book starts with a basic premise: startups are good for society, and they need angel investors to help them get started and build a strong foundation. This book is a guide to bring entrepreneurs and angels investors together for their mutual benefit and for the benefit of the community.
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Palgrave Macmillan, 2017. — 260 p. — ISBN: 978-3-319-43975-4. Institutions now dominate trading in equities around the world. Mutual funds are the most prominent, and doubly important as custodians of retirement savings. Despite this, there is no comprehensive description of fund manager behaviour, much less a matching theory. This is troubling because one of the most...
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Palgrave Pivot, 2020. — 180 p. — ISBN-10 3030342646; ISBN-13 978-3030342647. Explaining the underlying logic behind financial ratios, this book adds to the discussion on the importance and implementation of ratios and illustrates the essential role that they play in company evaluations and investment screening. The author explores how ratios establish a proportional...
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6th Edition. — John Wiley & Sons, Inc., 2023. — 467 p. — ISBN-13: 978-1-394-16883-5. The updated guide to investing in any kind of market environment. Stock Investing For Canadians For Dummies keeps you current as the Canadian stock market, industry, and tax laws go through a series of critical changes. Inside, you'll find expert tips and advice on how to navigate flat,...
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FT Press, 2004. - 256 p. The truth about 13 of today's most widely touted investment strategies. * 10 powerful lessons for every investor * Overcoming the enduring myths about markets * High dividend stocks: better and safer than bonds-or not? * Cheap stocks: cheap for a reason? * Should you invest in quality? Momentum? The next big thing? Or what? - 10 powerful lessons for...
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Wiley – 2003, 501 p. ISBN: 0471345032, 9780471345039 "Damodaran is a well-informed scholar with a gift for organized, clearly written syntheses of complex topics in modern finance. With Investment Philosophies he provides the uncensored facts about winning in the market place. If you are a fund manager, an investor, or simply a student of finance, you will want to read this...
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Wiley, 2012. – 597 p. – 2nd ed. – ISBN: 1118011511, 9781118011515 The guide for investors who want a better understanding of investment strategies that have stood the test of time. This thoroughly revised and updated edition of Investment Philosophies covers different investment philosophies and reveal the beliefs that underlie each one, the evidence on whether the strategies...
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Ed. Brailey S., Mc-Graw-Hill, 2002 Author: Aswath Damodaran. Publisher: Wiley. Language: English. ISBN: 0471414883. Pages: 992. A number of questions come into play when a corporation attempts to add value through its capital investment decisions. How do you precisely value an asset, either incoming or outgoing? Which strategy will provide the greatest value increase, and how...
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John Wiley & Sons, 2012. — 974 p. ISBN: 9781118011522 A must read for anyone wishing to gain a better understanding of investment valuation and its methods, this indispensable guide provides the insights and advice of a recognized authority on the valuation process and that you can immediately put to work for you. Introduction to Valuation Approaches to Valuation Understanding...
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FT Press – 2011, 352 p. ISBN: 0137085508, 9780137085507 In the continual pursuit for higher profits, investors and traders alike often assume significantly higher risks while chasing the next hot opportunity. Other more sophisticated investors attempt to employ complicated indicators while not fully understanding the information the indicator was designed to reveal. On the...
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Wiley, 2004. — 387 p. Over the years, people from around the world have turned to Morningstar for strong, independent, and reliable advice. The book provides the kind of savvy financial guidance only a company like Morningstar could offer. Based on the philosophy that "investing should be fun, but not a game," this comprehensive guide will put even the most cautious investors...
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Revised edition originally published in 1993 by International Publishing Corporation, Inc. Wiley Investment Classics. John Wiley & Sons, Inc., 2007. – 257 p. Market Risk, Timing, and Formula Strategies Dollar Cost Averaging Revisited Value Averaging Investment Goals with Dollar Cost Averaging Establishing the Value Path Avoiding Taxes and Transaction Costs Playing Simulation...
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Publisher:Hoboken, N.J. : Wiley, 2010. — 276 p. — ISBN: 9780470558058 Top tax guidance for today's turbulent real estate market Despite the downturn in the real estate market, savvy investors can continue to capture profits by using money-saving tax strategies. In The Real Estate Investor's Tax Edge, authors Scott Estill and Stephanie Long provide all of the necessary tax...
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The Idea Farm, 2015. With all of our focus on assets - and how much and when to allocate them - are we missing the bigger picture? Our book begins by reviewing the historical performance record of popular assets like stocks, bonds, and cash. We look at the impact inflation has on our money. We then start to examine how diversification through combining assets, in this case a...
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The Idea Farm, 2014. Investment bubbles and speculative manias have existed for as long as humans have been involved in markets. Is it possible for investors to identify emerging bubbles and then profit from their inflation? Likewise, can investors avoid the bursting of these bubbles, and the extreme volatility and losses found in their aftermath to survive to invest another...
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The Idea Farm, 2016. Picking stocks is hard — and competitive. The most talented investors in the world play this game, and if you try to compete against them, it’s like playing against the house in a casino. Luck can be your friend for a while, but eventually the house wins. But what if you could lay down your bets with the house instead of against it? In the stock market, the...
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The Idea Farm, 2013. Shareholder Yield: A Better Approach to Dividend Investing shows step-by-step how to find returns in a low yield world. Investors have flocked to dividend stocks in search of yield; however, fewer companies are paying out less in dividends due to legal, tax, and structural changes in the US markets. Dividend payments are only one use of a company’s free...
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DK Publishing, 2022. — 306 p. — ISBN: 9780744077308. Are you one of the 68% of women worldwide earning less than a man doing the same job? Then you need to make your money work harder, starting now. In Girls Just Want to Have Funds, the trio of founders behind the global movement Female Invest brings you an empowering five-step guide with a straight-talking message: you don't...
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Wiley, 2021. — 322 p. — ISBN: 9781119777083. Educate yourself about finance and socially conscious investing with a woman-centered approach. Activate Your Money provides the foundational support women need to talk to each other about their money, invest to grow their wealth and to take the actions required to shift their assets into alignment with their values. Written for...
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Wiley, 2021. — 192 p. — ISBN: 978-0730394556. Take the reins of your financial future with this powerful and insightful new resource. In Bulletproof Investing, real estate expert, investor, entrepreneur, and author James Fitzgerald, delivers a collection of personal stories and experiences that will show how you too can gain and retain financial control of your life. You’ll...
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This OECD report responds to the international community's reinvigorated efforts to mobilise foreign direct investment in support of development. The Doha Development Agenda, the Monterrey Consensus, the New Partnership for Africa's Development, the 2002 OECD Ministerial and the Johannesburg World Summit all underscore the importance of international investment in achieving...
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Springer, 2017. — 612 p. — ISBN: 978-3319458465. This book underscores the complexity of the equity markets, the challenges they face, and the fact that they are still a work in process. Three interacting forces drive market change: competition, technology change, and regulatory change. The markets have one major objective in particular to achieve: the delivery of accurate...
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McGraw-Hill Education, 2012. — 288 p. Why do so many individual investors throw together slapdash portfolios of risky and under-researched ETFs that are utterly out of alignment with their preferred investing style? The only reason until now is that there were no reliable, step-by-step instructions for designing an ideal investment mix of ETFs.
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McGraw-Hill, 2009. - 322 p. ISBN: 0071628207 Investing Strategies for the High Net-Worth Investor showcases an investing approach that helps readers understand the unique challenges and opportunities that wealthy families face when building a diversified portfolio for multiple generations. Renowned private wealth manager Niall J. Gannon offers a framework for investing in tax...
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McGraw-Hill, 2009. – 320 p. – ISBN: 0071628207, 9780071628204 A proven model for achieving high returns on taxable investments Investing Strategies for the High Net-Worth Investor showcases an investing approach that helps readers understand the unique challenges and opportunities that wealthy families face when building a diversified portfolio for multiple generations....
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Wiley, 2008. – 384 p. – ISBN: 0470401168, 9780470401163 Investing in an Uncertain Economy For Dummies provides investors with focused, individualized investment strategies that enable them to conquer indecision and protect and strengthen their current financial holdings. With advice from 200 top independent financial advisors, empowered readers can make effective asset...
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ICAEW Corporate Finance Faculty, Second Edition, 2010. — 154 p. — ISBN: 978-1-84152-830-4 The first edition of Private Equity Demystified – An Explanatory Guide was published in August 2008, as the first report to be issued under Financing Change, the thought leadership programme of the ICAEW Corporate Finance Faculty. The faculty is the world’s largest network of professionals...
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Global Edition. Pearson, 2017. — 773 p. — ISBN: 9781292153988. Fundamentals of Investing helps individuals make informed investment decisions by providing a solid foundation of core concepts and tools. Smart/Gitman/Joehnk uses practical, hands-on applications to introduce the topics and techniques used by both personal investors and money managers. The authors integrate a...
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Prentice Hall, 2011. – 662 p. in color – 11th ed. – ISBN: 013611704X, 9780136117049. The core concepts and tools students need to make informed investment decisions. Fundamentals of Investing helps students make informed investment decisions in their personal and professional lives by providing a solid foundation of core concepts and tools. Gitman/Joehnk/Smart use practical,...
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HarperCollins Publishers Inc., 2009. — 641 p., ISBN: 0-06-058328-2 The Classic Text Annotated to Update Graham's Timeless Wisdom for Today's Market Conditions The greatest investment advisor of the twentieth century, Benjamin Graham taught and inspired people worldwide. Graham's philosophy of "value investing" - which shields investors from substantial error and teaches them to...
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HarperCollins, 2003. — 640 p. — ISBN: 0060555661, 9780060555665. More than one million hardcovers sold Now available for the first time in paperback! The Classic Text Annotated to Update Graham's Timeless Wisdom for Today's Market Conditions The greatest investment advisor of the twentieth century, Benjamin Graham taught and inspired people worldwide. Graham's philosophy of...
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HarperCollins, 2003. — 640 p. More than one million hardcovers sold Now available for the first time in paperback! The Classic Text Annotated to Update Graham's Timeless Wisdom for Today's Market Conditions The greatest investment advisor of the twentieth century, Benjamin Graham taught and inspired people worldwide. Graham's philosophy of "value investing" — which shields...
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Harper Business, 1937. — 135 p. — ISBN: 088-730-913-5. The Interpretation of Financial Statements is a wonderful reference guide for those who want to understand published financial statements and reports. Although some of the information is slightly out of date, you can be sure this book will still be useful in twenty years. "All investors, from beginners to old hands, should...
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Palgrave Macmillan, 2009. – 208 p. – ISBN: 0230221084, 9780230221086 This practical guide on the theory and practice of Investor Relations combines the art and science of marketing, financial analysis and financial communications in a single source. It offers expert advice and helpful tips to be used in real business life by corporate executives, financial analysts, students,...
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Wiley, 1999. — 292 p. The Warren Buffett Way provided the first look into the strategies that the master uses to pick stocks. A New York Times bestseller, it is a valuable and practical primer on the principles behind the remarkable investment run of the famed Oracle of Omaha. In this much-awaited companion to that book, author Robert Hagstrom takes the next logical step,...
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Wiley – 2003, 352 p. ISBN: 0471392901, 9780471392903 A comprehensive guide to investment guarantees in equity-linked life insurance Due to the convergence of financial and insurance markets, new forms of investment guarantees are emerging which require financial service professionals to become savvier in modeling and risk management. With chapters that discuss stock return...
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Springer, 2018. — 183 p. — ISBN: 978-9811322143. This is one of the first books that comprehensively explains fundamental theories of natural resource and infrastructure public private partnership (NRI–PPP) projects and project finance. NRI–PPP projects and project finance have been adopted in natural resource development, including oilfield development, mine development, and...
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Readings for the CIMA Certification. — John Wiley & Sons, 2015. — 1152 p. The complete body of knowledge for CIMA candidates and professionals. The 2015 Certified Investment Management Analyst Body of Knowledge + Test Bank will help any financial advisor prepare for and pass the CIMA exam, and includes key information and preparation for those preparing to take the test. CIMA...
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Kogan Page – 2009, 353 p. 4th Revised edition ISBN: 0749453850, 9780749453855 Despite the current volatility in housing markets around the world, property ownership continues to be seen as safer and more reliable than many other types of investment. However, property investment remains a complex business - for example, what type of investment is best for a portfolio? Has every...
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Kogan Page, 2010. — 305 p. — 5th ed. — ISBN: 9780749456245, E-ISBN: 9780749459222 Despite the current volatility in housing markets around the world, property ownership continues to be seen as safer and more reliable than many other types of investment. However, property investment remains a complex business - for example, what type of investment is best for a portfolio? Has...
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New York: TradeGuider Systems International, 2011. — 192 p. — ISBN: 978-0-9836268-0-0. In 2002 Gavin Holmes had the good fortune to meet Tom Williams, a former syndicate trader who traded with one of the largest stock trading funds in America during the late 1950’s and early 1960’s. Tom wrote two books that he self published, “The Undeclared Secrets that Drive the Stock Market”...
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Hoboken: John Wiley & Sons. – 2007. – 240 p. What we want to teach you has nothing to do with the risky practice of speculating with options — this is not high-risk, high-return trading. In fact, covered calls are almost the complete opposite. In this book we show you a way to use options to make consistent, steady profits that you can rely on to pay your mortgage and put food...
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Prentice Hall, 2000. — 215 p. Can a $10,000 investment yield $1,000,000 in a year? In five years? If so, what is the risk involved? These are the kinds of questions to which this work is addressed. Such fantastic results are possible in the stock market. Individual issues fluctuate widely enough and often enough to permit this and more. Techniques are presented here that put an...
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Wiley, 2016. — 368 p. — ISBN: 1119316405. The latest, most complete data for more informed investment decisions The 2016 Stocks, Bonds, Bills, and Inflation (SBBI) Yearbook is the industry standard performance data reference, with comprehensive records dating back to 1926. Covering common stocks, long-term government bonds, long-term corporate bonds, Treasury bills, and the...
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Commerzbank AG, 2015. — 34 p. Häufig unterliegen Preise von Edelmetallen anderen Marktzyklen als die von Aktien und Anleihen. Deswegen bewegen sich ihre Preise weitgehend unabhängig von denen der anderen etablierten Anlageklassen. Im Gesamtportfolio können sie deshalb einen wichtigen Stabilitätsfaktor darstellen.
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Wiley, 2019. — 328 p. — ISBN: 1119526167. A step-by-step, comprehensive approach to private equity and private debt Private Capital Investing: The Handbook of Private Debt and Private Equity is a practical manual on investing in the two of the most common alternative asset classes (private equity and private debt) and provides a unique insight on how principal investors analyze...
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Washington, D.C.: The World Bank, 2007. — 230 p. Many governments want private firms to finance new infrastructure. The firms, in turn, often want the government to bear some of the risks. They might ask the government to compensate them if demand falls short of forecasts or to promise to repay their debts if they become insolvent. At the very least, they probably want the...
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McGraw-Hill, 2003. – 208 p. – ISBN: 0071402314, 9780071402316 Investors left to pick up the pieces of the shattered stock market are rediscovering value investing the time-tested technique based on assessing and buying businesses as opposed to "picking" hot stocks. The Five Keys to Value Investing provides a methodical framework for using value analysis to uncover investment...
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Wiley, 2007. — 304 p. — (Wiley Finance). A strategy to profit when markets are range bound–which is half of the time. One of the most significant challenges facing today’s active investor is how to make money during the times when markets are going nowhere. Bookshelves are groaning under the weight of titles written on investment strategy in bull markets, but there is little...
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28th edition, Publisher: London [England]: Kogan Page, 2014. — 392 p. — ISBN: 9780749470906 Whether it is a relaxing or action-packed and financially rewarding retirement you are looking for, this is the book for you. Retirement is also a time for new opportunities and is the start of the third significant chapter of your life. Life's story gives us the first chapter of the...
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Wiley, 2012. – 337 p. – ISBN: 1118432231, 9781118432235 Debunking outdated and inaccurate beliefs about investment management and reveals the new realities of the post-modern financial markets There have been a lot of big changes in the investment world over the past decade, and many long-cherished beliefs about the structures and performance of various investments no longer...
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Wiley, 2018. — 206 p. — ISBN: 9781119356721. The writing "bible" for financial professionals The Investment Writing Handbook provides practical, accessible guidance for crafting more effective investor communications. Written by an award-winning writer, editor, and speechwriter, this book explains the principles and conventions that help writing achieve its purpose; whether you...
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FT Press, 2009. — 186 p. Kirkpatrick reveals why an active strategy based on relative stock rankings is the surest route to profit, and how just a few pieces of publicly available information enable you to create rankings that virtually guarantee exceptional performance. You’ll learn how to use his techniques to organize stocks into a portfolio that maximizes returns while...
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Wiley, 2008. – 320 p. – ISBN: 0470122331, 9780470122334 In Foundation and Endowment Investing, authors Lawrence Kochard and Cathleen Rittereiser offer you a detailed look at this fascinating world and the strategies used to achieve success within it. Filled with in-depth insights and expert advice, this reliable resource profiles twelve of the most accomplished Chief Investment...
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Wiley, 2014. — 387 p. This book remedies common misconceptions with a straightforward assessment of banking fundamentals. Written by experts in stock market proceedings, this book runs parallel to an introductory course in investment banking. It clearly outlines strategies for risk management, key investment banking operations, the latest information on competition and...
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Wiley – 2010, 432 p., 7th Edition ISBN: 0470769262, 9780470769263 If you're eager to take control of your investments but don't want to make it your full-time job, Investing Online For Dummies, 7th Edition will put you on your way. Completely updated to cover all the newest online tools and resources, this easy-to-understand guide gets you started with investing online and...
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9th Ed. — John Wiley & Sons, Inc., 2017. — 435 p. — (Investing Online for Dummies). — ISBN10: 1119228352, 13 978-1119228356. Building substantial online investments is a page away. Anyone can invest online, but without the right guidance and know-how, a well-meaning online investment can go wrong-fast. Inside, you'll find the investment strategies you need to pick a winning...
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10th edition. — Wiley, 2019. — 435 p. — ISBN: 9781119601487. Build a winning portfolio — and reduce your risk — with this best-selling guide. Online investing has never been easier — or more potentially confusing. Now that every broker or finance site has its app, data, or approach, it can be all too easy to be misled and make a bad decision. Online Investing for Dummies helps...
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SAGE Publications India Pvt Ltd., 2020. — 185 p. — ISBN: 978-93-5388-415-4. Venture Capital is a form of financing provided by wealthy investors, investment banks, and other financial institutions to start-ups and small- to medium-sized enterprises with strong growth potential in exchange for private equity stakes. These investors are also known as venture capitalists. With the...
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Wiley, 2007. — 240 p. — ISBN: 0470128607, 9780470128602 Income Investing Today Income Investing Today details a safe alternative to the downside risks inherent in the stock marketincome securities that can provide a 7% to 8% annual cash income. With this book, fixed income expert Richard Lehmann outlines income investing concepts you need to understand, various investment...
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Wiley – 2010, 334 p. ISBN: 0470481765, 9780470481769 A cutting-edge look at the endowment model of investing Many larger endowments and foundations have adopted a broadly diversified asset allocation strategy with only a small amount of traditional U.S. equities and bonds. This technique, known as the "endowment model of investing," has demonstrated consistent long-term...
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Prentice Hall, 2004. – 938 p. in color – ISBN: 0273651641, 9780273651642 To some people, security markets are like casinos in which investing is based on predicting security prices and speculating that those predictions will come true. Investments is here to tell you otherwise. You could try to predict security prices by flipping a coin or reading a horoscope, but if you really...
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The McGraw-Hill, 2011. – 402 p. – 2nd ed. – ISBN: 0071749128, 9780071749121 Start building a rock-solid portfolio with as little as $500! Do you think cash vehicle is another phrase for "expensive car"? Would you know a hybrid investment if you saw one? Does T-bill mean anything to you? The world of investing is a complex (and sometimes scary) place. Fortunately, you have a...
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Princeton University Press, 2017. — 504 p. — ISBN: 978-0691135144. A new, evolutionary explanation of markets and investor behavior. Half of all Americans have money in the stock market, yet economists can't agree on whether investors and markets are rational and efficient, as modern financial theory assumes, or irrational and inefficient, as behavioral economists believe — and...
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Princeton University Press, 2019. — 504 p. — (With a new afterword by the author). — ISBN: 978-0-691-19680-0. A new, evolutionary explanation of markets and investor behavior Half of all Americans have money in the stock market, yet economists can’t agree on whether investors and markets are rational and efficient, as modern financial theory assumes, or irrational and...
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Princeton University Press, 2021. — 416 p. — ISBN: 978-0-691-21520-4. Is there an ideal portfolio of investment assets, one that perfectly balances risk and reward? In Pursuit of the Perfect Portfolio examines this question by profiling and interviewing ten of the most prominent figures in the finance world — Jack Bogle, Charley Ellis, Gene Fama, Marty Leibowitz, Harry...
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DK; Penguin Random House, 2023. — 581 p. — ISBN: 978-074-40746-11. Options trading can be risky and intimidating, even for experienced traders. It can also be an exciting investment option that can pay serious dividends. This helpful guide breaks down the often complicated process of options trading and explains, step-by-step, how to buy and sell according to your investment...
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2nd edition. — New York; Oxford. Oxford University Press, 2013. — 604 p. Investment Science, Second Edition, provides thorough and highly accessible mathematical coverage of the fundamental topics of intermediate investments, including fixed-income securities, capital asset pricing theory, derivatives, and innovations in optimal portfolio growth and valuation of multi-period...
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New York; Oxford. Oxford University Press, 1998. Investments-Mathematical models. Investment analysis-Mathematical models. Cash flow-Mathematical models Interest rates-Mathematical models Derivative securities-Mathematical models
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1998. p 94. Solution key for Investment science 1st Edition. Investments-Mathematical models. Investment analysis-Mathematical models. Cash flow-Mathematical models. Interest rates-Mathematical models. Derivative securities-Mathematical models.
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McGraw-Hill, 2003. - 160 p. Everything investors who skipped accounting class need to know to spot-and steer clear of-companies whose numbers don't add up Individual investors today are painfully aware that accounting fraud is more widespread than ever, yet often they aren't sure what this fraud looks like or even where to look. What Every Investor Needs to Know About...
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John Wiley & Sons, Inc., 2007. — 243 p. Learning outcomes, summary overview, and problems . The portfolio management process and the investment policy statement. Managing individual investor portfolios. Managing institutional investor portfolios. Capital market expectations. Asset allocation. Fixed-income portfolio management. Equity portfolio management. Alternative...
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3rd ed. — John Wiley & Sons, Inc., 2007. — 963 p. Learning outcomes, summary overview, and problems . The portfolio management process and the investment policy statement. Managing individual investor portfolios. Managing institutional investor portfolios. Capital market expectations. Asset allocation. Fixed-income portfolio management. Equity portfolio management. Alternative...
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Wiley, 2010. – 178 p. – ISBN: 0470528494, 9780470528495 In the updated edition of The Elements of Investing, authors Charles Ellis and Burton Malkiel — two of the world's greatest financial thinkers — have again combined their talents to produce a straight-talking book about investing and saving. Written with every investor in mind, this reliable resource will put you on a path...
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12th edition. — McGraw-Hill, 2021. — 768 p. — ISBN: 9781265450090. The market-leading undergraduate investments textbook, Essentials of Investments by Bodie, Kane, and Marcus, continues to evolve along with the changes in the financial markets yet remains organized around one basic theme — that security markets are nearly efficient, meaning that you should expect to find few...
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12th edition. — McGraw-Hill, 2021. — 768 p. — ISBN: 9781265450090. The market-leading undergraduate investments textbook, Essentials of Investments by Bodie, Kane, and Marcus, continues to evolve along with the changes in the financial markets yet remains organized around one basic theme — that security markets are nearly efficient, meaning that you should expect to find few...
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Publisher Harriman House, 2012. — 296 p. — ISBN10: 0857191721, ISBN13: 978-0857191724 Sub-Saharan Africa is now one of the world's most talked about regions in terms of emerging investment opportunities and sources of new growth. Its economies represent a quintessential frontier market and they are set to develop into an area of long-term investment interest. 'Africa - The...
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2nd edition. — Palgrave Macmillan, 2023. — 405 p. — (Finance and Capital Markets Series). — ISBN: 978-3-031-32784-1. This book provides a clear and concise explanation of withholding tax and how to leverage best practices to generate improved investment performance. It gives practical guidance to financial service firms and investors to help them understand the issues involved,...
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Breakthrough Publications, 2009 In addition to describing the current state of Angel and VC financing, this book provides entrepreneurs (and investors) with a very practical guide for designing businesses for growth. This book should be read by any serious entrepreneur who is even in the earliest stages of their new venture, such that they can lay down a solid foundation to...
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Wiley, 2002. — 273 p. A realistic guide to strong and steady investments that have proven themselves worthy over the years Investors tend to forget about the slow and steady growth of value or blue-chip stocks when quick run-ups in the market occur. These quick spikes rarely last long and investors then return to the comfort of blue-chip stocks. This book offers readers the...
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Oxford University Press, 2009. — 365 p. People covered by public pensions are often the subject of "pension envy": that is, their benefits might seem more generous and their contributions lower than those offered by the private sector. Yet this book points out that such judgments are often inaccurate, since civil servants hold jobs with few counterparts in private industry,...
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ReadHowYouWant, 2009. – 384 p. – ISBN: 1442996285, 9780470401149 The stock market has been a cornerstone of the investors passive wealth-building program for over a century and continues in this role. This decade has been one huge roller coaster ride for stock investors. Fortunes have been made and lost. With all the media attention, all the talking heads on radio and...
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Cambridge University Press, 2010. - 500 p. As governments around the world withdraw from welfare provision and promote long-term savings by households through the financial markets, the protection of retail investors has become critically important. Taking as a case study the wide-ranging EC investor-protection regime which now governs EC retail markets after an intense reform...
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Portfolio, 2018. — 288 p. Most people invest in the usual assets: real estate, gold, mutual funds, fixed deposits and stock markets. It's always the same four or five instruments. All they end up making is a measly 8 to 12 per cent per annum. Those who are exceptionally unfortunate get stuck in the middle of a crash and end up losing a lot of money. What if there was another...
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Authors not specified. — Modern Investment Technologies, 2008. — 59 p. Language: English. General Information. Chapters Overview. Correction Of Historical Prices. Types Of Returns. Analytical Model. Analytical Model Of Financial Market. Portfolio Analytics. Definitions. Analytical Portfolio. Historical Portfolio. Portfolio Optimization. Utility Functions. Measures Of Risk...
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2nd edition. — Harriman House, 2018. — 566 p. Find the most lucrative markets of the future by looking to the past. Some of the biggest technological innovations in the world have followed similar market and social patterns - scepticism is replaced by enthusiasm; venture capital is supplied; many companies are started, and their stocks rise. But as the technology is developed...
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McGraw-Hill, 2000. — 433 p. This text discusses new stock issues, also called initial public offerings (IPOs), and small company stocks. This guidance should help seasoned investors as well as newcomers who are seeking higher returns. It addresses issues such as: how much money to allocate; how to limit risk when buying risky stocks; how to maximize profits when buying new...
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Wiley, 2010. – 246 p. – ISBN: 047057514X, 9780470575147 How to safely, easily, and as tax efficiently as possible diversify and hedge against the dollar’s fall It's no secret–the U.S. economy is in crisis mode, threatening everything from personal savings to our overall prosperity as a nation. Panicking is not the answer. Having a clear game plan is. In this environment,...
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John Wiley & Sons, Inc., 2000. — 257 p. Hedge funds are typically thought of as highly risky investments. Not so. In fact, some hedge funds are among the most conservative investments you can make. While speculative, high-flying hedge funds make the headlines, others quietly go about the work of crafting unique investment strategies and hedging portfolios against market risk....
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Wiley, 2017. — 296 p. The book is about creating the financial freedom to live your dreams, whatever your age. It shows how getting your financial act together can be downright sexy, allowing you to achieve the things that mean the most to you - regardless of your income. Scott Pape, the Jamie Oliver of finance, writes for the young and hip who want to enjoy life now – not to...
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Wiley, 2018. — 312 p. — ISBN: 1119431190. Make the smartest choices you can with this must–have read for investors by one of the world′s legendary value investors World–renowned investor Francisco García Paramés shares his advice and tips on making smart investments in this must–have book for those looking to make smarter choices for their portfolio. Investing for the Long Term...
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Wiley, 2018. — 312 p. — ISBN: 1119431190. Make the smartest choices you can with this must–have read for investors by one of the world′s legendary value investors World–renowned investor Francisco García Paramés shares his advice and tips on making smart investments in this must–have book for those looking to make smarter choices for their portfolio. Investing for the Long Term...
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Tata McGraw-Hill, 2009. — 357 p. Rational and successful investing is all about restraining and channelizing these emotions and understanding behavioral finance, not market sentiments, crowd behavior or company performances. At a time when market upheavals are eroding investors' confidence, dooming life's earnings and corporate fortunes, and whipping up mass hysteria — Value...
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Wiley, 2017. — 288 p. — ISBN: 978-1119161394. Win the recruiting race with the ultimate analyst's guide to the interview. The Complete, Technical Interview Guide to Investment Banking is the aspiring investment banker's guide to acing the interview and beginning your journey to the top. By merging a 'study guide' to the field with a forecast of the interview, this book helps...
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2nd edition. — Wiley, 2021. — 320 p. — (For Dummies). — ISBN: 978-1119801610. Become a more strategic and successful investor by identifying the biases impacting your decision-making. In Behavioral Finance and Your Portfolio, acclaimed investment advisor and author Michael M. Pompian delivers an insightful and thorough guide to countering the negative effect of cognitive and...
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Columbia University Press, 2016. — 449 p. Investing — the commitment of resources to achieve a return — affects individuals, families, companies, and nations, and has done so throughout history. Yet until the sixteenth century, investing was a privilege of only the elite classes. The story behind the democratization of investing is bound up with some of history’s most epic...
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New York: Columbia University Press, 2016. — ISBN: 9780231540858. Investingthe commitment of resources to achieve a returnaffects individuals, families, companies, and nations, and has done so throughout history. But until sixteenth-century Amsterdam, investing was a privilege of the elite classes. The story behind the democratization of investing is bound up with some of...
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Public report. London. Ritcap. 2016. 89 p. RIT - Rothschild Investment Trust. Manager, company, secretary & registered office - J. Rothschild Capital Management Limited (a wholly-owned subsidiary of RIT). Company Highlights. Strategic Report. -Chairman’s Statement. -Our Strategy & Business Model. -Investment Review. -Investment Portfolio. -Principal Risks & Viability....
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CFA Institute Investment Series. — John Wiley & Sons, Inc., 2015. — 1064 p. Financial Statement Analysis: An Introduction. Financial Reporting Mechanics. Financial Reporting Standards. Understanding Income Statements. Understanding Balance Sheets. Understanding Cash Flow Statements. Financial Analysis Techniques. Inventories. Long-Lived Assets. Non-Current (Long-Term)...
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Second edition - Wiley Finance, 2013. — 653 p. — ISBN: 9781118656211 This book focuses on the primary valuation methodologies currently used on Wall Street, namely comparable companies analysis, precedent transactions analysis, discounted cash flow analysis, and leveraged buyout analysis. These methodologies are used to determine valuation for public and private companies...
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Wiley Finance, 2009. — 333 p. In the constantly evolving world of finance, a solid technical foundation is an essential tool for success. Due to the fast-paced nature of this world, however, no one has been able to take the time to properly codify the lifeblood of the corporate financier’s work — namely, valuation. Rosenbaum and Pearl have responded to this need by writing the...
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Wiley, 2013. — 232 p. — ISBN: 1118456114, 9781118456118 Investment Banking Workbook is the ideal complement to Investment Banking, Valuation, Leveraged Buyouts, and Mergers & Acquisitions, Second Edition , enabling you to truly master and refine the core skills at the center of the world of finance. This comprehensive study guide provides an invaluable opportunity to explore...
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Wiley, 2006. – 250 p. – 0470011963, 9780470011966 Trustees are responsible for the stewardship of assets and for implementing the mission of their endowment or foundation. Almost invariably trustees delegate the management of those assets to agents who are investment professionals. In this increasingly sophisticated and litigious financial world there can be a growing gap of...
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Alpha Books - 2001, 216 p. The major aim of this book is to explain the basics of stock market investing in language that is understandable to the reader. To that extent, this book is full of comparisons to other everyday situations, anecdotes, personal experiences, and even strange-but-true facts to keep you interested as you make your way through the wonderful world of...
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Palgrave Macmillan, 2016. — 192 p. — ISBN: 978-3319411040. This book, which is written from a practitioner’s perspective, fills the void by providing the reader with a toolkit and guiding principles to manage money when markets are in turmoil. It features ten case studies beginning with the breakdown of the Bretton Woods fixed exchange rate system through the current situation...
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Emerald Publishing, 2018. — 192 p. — ISBN: 978-1787562806. Investment Behaviour explores the relationship between competing demographic factors, personal awareness and perceived attitudes to risk in shaping the behaviour of individual investors in the stock market. Arup Kumar Sarkar and Tarak Nath Sahu analyze the suitability of using Behavioural Finance theories in...
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Elsevier, 2005. — 178 p. With more and more physicists and physics students exploring the possibility of utilizing their advanced math skills for a career in the finance industry, this much-needed book quickly introduces them to fundamental and advanced finance principles and methods. Quantitative Finance for Physicists provides a short, straightforward introduction for those...
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6th Edition. — Pearson, 2012. — 360 p. — ISBN10: 0132746247; ISBN13: 978-0132746243. scanned book, b/w This textbook helps students analyze real company financial statement information. Each activity in the book concentrates on only one aspect of the analysis and uses data from well-known corporations to pique students' interest and add relevancy.
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Wiley, 2012. — 544 p. This book provides fascinating insights into the hedge fund traders who consistently outperform the markets, in their own words. From bestselling author, investment expert, and Wall Street theoretician Jack Schwager comes a behind-the-scenes look at the world of hedge funds, from 15 traders who've consistently beaten the markets. Exploring what makes a...
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BiggerPockets Publishing, 2013. — 353 p. — ISBN: 1947200100, 9781947200104. First concepts. Prepare your financing. Find your agent(s). Where you should buy. What you should buy. Who to buy from. How you'll find deals. The flip formula. Looking at properties. Making offers. Your due diligence. Create your SOW. Create your budget. Create your schedule. Hiring contractors....
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Avid Reader Press, 2022. — 504 p. — ISBN: 978-1-9821-8516-9. Technological change is reshaping the economy in a way not witnessed since Henry Ford introduced the assembly line. A little more than ten years ago, only two of the ten most valuable publicly traded companies in the world were digital enterprises — today, they comprise eight of the top ten. Investors around the world...
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New Jersey: Prentice Hall Inc., 1999. — 990 p. This book provides a solid theoretical framework around which to build practical knowledge of securities and securities markets. KEY TOPICS: It offers a balanced presentation of theory and practice as it explains to readers the essentials of prominent investment concepts. Just as importantly, it illustrates how those concepts are...
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Princeton University Press, 2006. — 232 p. — (Princeton Lectures in Finance). In Investors and Markets, Nobel Prize-winning financial economist William Sharpe shows that investment professionals cannot make good portfolio choices unless they understand the determinants of asset prices. But until now asset-price analysis has largely been inaccessible to everyone except PhDs in...
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Wiley, 2016. — 368 p. — ISBN13: 978-1-11887100-3. A detailed look at risk identification and value creation in private equity investment Equity Value Enhancement ("EVE"): Governance, Risk, Relationships & Knowledge ("GRRK") provides the information and tools practitioners and business owners need to work with the multitude of intangibles ("GRRK") in equity investment decisions....
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Wiley, 2015. — 368 p. — ASIN B019G6P8FU. A detailed look at risk identification and value creation in private equity investment Equity Value Enhancement ("EVE"): Governance, Risk, Relationships & Knowledge ("GRRK") provides the information and tools practitioners and business owners need to work with the multitude of intangibles ("GRRK") in equity investment decisions. The...
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Oxford University Press, 2007. — 368 p. — ISBN: 978-0195304213. Even the best Wall Street investors make mistakes. No matter how savvy or experienced, all financial practitioners eventually let bias, overconfidence, and emotion cloud their judgment and misguide their actions. Yet most financial decision-making models fail to factor in these fundamentals of human nature. In...
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Kogan Page, 2008. — 193 p. From the best-selling author of the Next Big Investment Boom, this book provides everything you need to know about making the world's money markets work to your advantage, enabling you to turn basic investments into a winning portfolio. Big Money, Little Effort shows you how a straightforward, manageable and stress-free investment system, if properly...
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John Wiley & Sons, 2016. — 194 p. — ISBN: 9781119118473. America's Savings Challenge. The Risk of Not Investing in Stocks. The Enemies of a Stock Portfolio. The Value of Time for Investors. Core Assets of a Robust Portfolio. Dynamic Asset Selection Determining the Lowest-Cost Option for Each Portfolio. What Software Does Better than People. How International Investing Can...
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John Wiley & Sons Australia, Ltd., 2023. — 400 p. — ISBN: 978-1-394-17694-6. Be your financial planner and create a winning strategy to achieve your money goals Do you want to learn and apply the strategies that experts use to grow and protect wealth? In Smart Money Strategy, popular financial planner Luke Smith comprehensively reveals the principles, methods, and tactics that...
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Wiley, 2021. — 240 p. What role should they play in an investment portfolio? Do we use them only to seek shelter until the passing of financial storms? Or are they something more? Contrary to everything we know from modern financial theory, can higher returns come as a result of lowering risk? In Safe Haven, hedge fund manager Mark Spitznagel — one of the top practitioners of...
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The Economist, 2018. - 352 p. - ISBN: 978-1610399791 4th.ed. Now in its fourth edition, this classic guide to investment strategy has been revised to give up-to-date ideas on pensions, investments of passion and more. Peter Stanyer and Stephen Satchell's Guide to Investment Strategy looks at the risks and opportunities of uncomplicated strategies and comes with wealth warnings...
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The Economist, 2018. - 352 p. - ISBN: 978-1610399791 4th.ed. Now in its fourth edition, this classic guide to investment strategy has been revised to give up-to-date ideas on pensions, investments of passion and more. Peter Stanyer and Stephen Satchell's Guide to Investment Strategy looks at the risks and opportunities of uncomplicated strategies and comes with wealth warnings...
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Bloomberg Press, 2010. - 304 p. The first edition of The Economist Guide to Investment Strategy explained the fundamentals of investment risk, how to put together "keep-it-simple" investment strategies, and the need to guard against our own behavior leading to dreadful investment mistakes. The global crisis that erupted in 2008 exposed the flaws in many more complicated...
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The Economist, 2014. — 384 p. — ISBN: 1610393910, 9781610393911. Supported by numerous charts and detailed analysis, The Economist Guide to Investment Strategy outlines how to construct investment strategies appropriate for individual investors. It looks at the risks and opportunities of uncomplicated strategies and it comes with wealth-warnings for those who wish to explore...
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Pegasus Books, 2023. — 535 p. — ISBN: 978-1-63936-374-2 The first quarter of the new century has seen developments in technology, monetary policy, and the management of large companies that have transformed personal savings and investment around the world. Love it, loathe it, or just not interested in it, this innovation has changed not only the nature of money but our...
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Wiley, 2012. – 368 p. – 2nd ed. – ISBN: 9781119962625 Master the markets and make wise investments. Investing in Shares For Dummies gives you the sound advice and proven tactics you need to play the markets and watch your profits grow. The experienced authors introduce you to all categories of shares, show you how to analyze the key markets, and offer invaluable resources for...
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3rd ed. — Academic Press, 2017. — 732 p. — ISBN: 978-0128047231. As our economy evolves, private equity groups, hedge funds, and investment banks compete and cooperate in different ways. Their recent innovations are reported and analyzed by the 3rd edition of David Stowell’s landmark book, which adds three new cases, significantly revisions of most chapters, and updated...
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3rd Edition. — Academic Press, 2018. — 709 p. — ISBN: 978-0-12-804723-1. As our economy evolves, private equity groups, hedge funds, and investment banks compete and cooperate in different ways. Their recent innovations are reported and analyzed by the 3rd edition of David Stowell’s landmark book, which adds three new cases, significantly revisions of most chapters, and updated...
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Academic Press, 2010. — 642 p. — ISBN10: 0123745039; ISBN13: 978-0123745033. This description of the symbiotic relationships among investment banks, hedge funds, and private equity firms shows students how firms simultaneously compete and cooperate. The author has captured the ways these firms are reinventing themselves in the post-crash regulatory environment and, through ten...
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Academic Press, 2010. — 642 p. — ISBN10: 0123745039; ISBN13: 978-0123745033. This description of the symbiotic relationships among investment banks, hedge funds, and private equity firms shows students how firms simultaneously compete and cooperate. The author has captured the ways these firms are reinventing themselves in the post-crash regulatory environment and, through ten...
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Second Edition. — Academic Press, 2012. — 672 p. — ISBN: 978-0124158207. The dynamic environment of investment banks, hedge funds, and private equity firms comes to life in David Stowell’s introduction to the ways they challenge and sustain each other. Capturing their reshaped business plans in the wake of the 2007-2009 global meltdown, his book reveals their key functions,...
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USA: McGraw-Hill/Irwin; 8 edition – 302 p. (8th ed.) Prepared by Bruce Swenson of Adelphi University, the student solutions manual provides detailed solutions to the end of chapter problems. The author’s involvement in the completion of the Solutions Manual ensures consistency between the solution approaches in the examples featured within the text and those presented in the...
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Fourth edition. — WallStreetOasis.com Internet Edition, 2013. — 245 p. Technical questions are part of nearly every finance interview. While the level of difficulty of these questions varies from firm to firm, from interviewer to interviewer, and from candidate to candidate, every applicant will be grilled on technical questions in at least one round of interviews.This Guide is...
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AMACOM, 2007. — 250 p. Every stock market investor needs to be able to calculate value, profits, and cash flow in order to make basic decisions like whether to buy, hold, or sell. But it's easy to get intimidated by all the ratios and formulas, especially when incorrect calculations can lead to costly investment mistakes. The Stock Investor's Pocket Calculator simplifies the...
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Boston: Mariner Books, Houghton Mifflin Harcourt, 2016. — 393 p. For nearly forty years, The Only Investment Guide You'll Ever Need has been a favorite finance guide, earning the allegiance of more than a million readers across America. This completely updated edition will show you how to use your money to your best advantage in today's financial marketplace, no matter what...
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Publisher: Boston : Mariner Books/Houghton Mifflin Harcourt, 2010. — 306 p., Edition: Completely updated & rev., 1st Mariner Books ed.— ISBN: 9780547504728. For more than thirty years, The Only Investment Guide You’ll Ever Need has been a favorite finance guide, earning the allegiance of more than a million readers across the United States. Now even more indispensable, this...
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BiggerPockets Inc., 2015. — 340 p. Why i love rental properties. The five keys to rental property success. Four sample plans. The ten members of your real estate team. Analyzing a rental property. Investing while living in an expensive area. Types of rental properties. Location, location, location! Howto find rental properties. Which properties make the best rentals? Submitting...
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BiggerPockets, 2015. — 417 p. — ISBN: 0990711757. No matter how great you are at finding good rental property deals, you could lose everything if you don’t manage your properties correctly. But being a landlord doesn’t have to mean middle-of-the-night phone calls, costly evictions, or daily frustrations with ungrateful tenants. Being a landlord can actually be fun IF you do it...
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Wiley, 2017. — 168 p. — ISBN: 978-1119351054. Believing "high-risk equals high-reward" is holding your portfolio hostage High Returns from Low Risk proves that low-volatility, low-risk portfolios beat high-volatility portfolios hands down, and shows you how to take advantage of this paradox to dramatically improve your returns. Investors traditionally view low-risk stocks as...
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Springer, 2014. — 674 p. — (CSR, Sustainability, Ethics & Governance). — ISBN: 9783319103105, 9783319103112 This book provides evidence on the relevance of environmental and social factors in decision making. It discusses the Gold Standard Frameworks for integrating extra-financial risks into the philosophy, culture, strategies, products and value chain management procedures of...
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WetFeet, 2006. — 155 p. Working in investment banking is a great way to learn the ins and outs of corporate finance and develop analytical skills that will prove useful throughout a business career. This popular WetFeet Insider Guide explores what working in an investment bank is really like; the opportunities for undergrads and MBAs; profiles of top investment banks; and the...
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Wiley, 2017. — 400 p. — ISBN: 978-1119327974. The definitive guide to private equity for investors and finance professionals Mastering Private Equity was written with a professional audience in mind and provides a valuable and unique reference for investors, finance professionals, students and business owners looking to engage with private equity firms or invest in private...
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Wiley, 2017. — 400 p. — ISBN: 978-1119327974. The definitive guide to private equity for investors and finance professionals Mastering Private Equity was written with a professional audience in mind and provides a valuable and unique reference for investors, finance professionals, students and business owners looking to engage with private equity firms or invest in private...
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How To Books, 2007. — 257 p. Based on prudent long-term principles, this book has been specially prepared to help and guide those with a substantial sum to invest, or those with a continuous surplus income who are considering investing in quoted securities.
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Wiley, 2013. — 496 p. This book outlines Whitman's approach to business and security analysis that departs from most conventional security analysts. This approach has more in common with corporate finance than it does with the conventional approach. The key factors in appraising a company and its securities: Credit worthiness, Flows — both cash and earnings, Long-term outlook,...
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John Wiley & Sons, 2009. — 272 p. Financial innovation, new laws and regulations, and the financial meltdown of 2007-2008 are just a few of the forces that have shaped, and continue to shape, today's distress investment environment. Combine this with the fact that the discipline of distress investing doesn't always follow what conventional wisdom says, and you can see why it is...
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Windsor Books, 1986. — 131 p. You are shown William's personal technique for picking stocks based on identifying what stocks are under professional buying or selling. In addition, you'll learn how to successfully forecast the market's short, intermediate and long term trend; and be shown how to combine stock selection with market timing to improve your results.
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Simon & Schuster, 2001. — 92 p. This book is written for the sole purpose as a guide to trading and investing in the stock markets and should not be viewed or interpreted as the only means of profiting or as a guarantee to profit. Please be advised that the data provided, especially the Web site links and market indices is current as of October 17, 2001, and are subject to...
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Morgan Stanley, 2003. — 510 p. Morgan Stanley seeks to add value by helping customers formulate investment strategy, seek return, and reduce risk, and by providing efficient execution. Methods for doing this often require creative problem-solving, both in identifying a new approach and working through its ramifications. This material aims to provide tools and techniques that...
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