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...
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....
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...
Doctoral Thesis. — University of Fribourg, 2001. — 389, p. Tho organization of trading in stock markets. Tho NASDAQ Stock Markrt. Market microstructure theory. Strategic behavior of market makers. Policy measures to reduce the effects of implicit colltision. Concluding remarks. Utility theory. The portfolio selection theory. The rational expectations hypothesis. Mathematical...
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...
Wiley, 2021. — 224 p. — ISBN: 978‐0‐730‐39152‐4. The definitive guide to building a profitable commercial property portfolio Rethink Property Investing offers practical advice for both new and established investors looking to move beyond traditional residential real estate and enter the profitable world of commercial properties. Scott and Mina O'Neill, Australia's leading...
John Wiley & Sons, Inc., 2003. — 226 p. A well-rounded hedge fund guide for the serious financial professional. Alternative investment strategies- hedge funds in particular- have experienced a significant resurgence recently, largely in response to the dramatic downturn of the global equity markets. In response to this explosion in popularity, this book focuses on many of the...
John Wiley & Sons Singapore Pte. Ltd., 2013. — 226 p. The Making of a Value-Growth Investor. The Secrets of Successful Value-Growth Investors. The Jigsaw Puzzle — Four Pieces to Value-Growth Investing. Business — The First Piece of the Puzzle. Management — The Second Piece of the Puzzle. Numbers — The Third Piece of the Puzzle. Valuation — The Fourth Piece of the Puzzle....
Chapman and Hall/CRC, 2023. — 292 p. — ISBN: 978-1-032-00696-3. Your Essential Guide to Quantitative Hedge Fund Investing provides a conceptual framework for understanding effective hedge fund investment strategies. The book offers a mathematically rigorous exploration of different topics, framed in an easy to digest set of examples and analogies, including stories from some...
Second Edition. — McGraw-Hill, 2023. — 352 p. The classic guide to constructing a solid portfolio — without a financial advisor! First published two decades ago, The Four Pillars of Investing has been the go-to resource for an entire generation of investors. This updated edition of the investing classic provides the foundational knowledge you need to avoid the most common...
Routledge, 2019. — 202 p. — ISBN: 9781138299023. Corporate Liability for Insider Trading examines the reasons why there have been no successful criminal prosecutions or successful contested civil proceedings against corporations for insider trading and analyzes the various rationales for prohibiting insider trading. It reviews the insider trading regulatory regime and describes...
2nd ed. — Wiley, 2010. — 768 p. — ISBN: 0470478357. A fully revised guide to fixed income securities that reflects current market conditions. The Second Edition of Bond Evaluation, Selection, and Management combines fundamental and advanced topics in the field, offering comprehensive coverage of bond and debt management. This fully updated and revised edition provides you with...
Palgrave, 2021. — 494 p. — ISBN: 978303063705-7. This book analyzes elements of international finance, comparing the regulation of hedge funds in the United States, Europe, the UK, and off-shore jurisdictions in the aftermath of the financial crisis. It critically compares the Dodd- Frank Act in the US with the Alternative Investment Funds Managers Directive in Europe....
Pylon Publishing, 2012. — 138 p. — ISBN: 9780982967621. The Foundation . The Neighborhood Business (Stocks 101). A Child’s First Bond (Bonds 101). The Lake (The Market 101). George's Final Guidance (The Connection). Teaching Yourself . How Do We Define Success? Valuing a Bond. Value a Stock. Other Important Stuff . Preferred Stock. Saving your Money and Cash Flow. When do I...
John Wiley & Sons Ltd, 2007. — 730 p. — ISBN: 1118673433, 9781118673430. Behavioral investing seeks to bridge the gap between psychology and investing. All too many investors are unaware of the mental pitfalls that await them. Even once we are aware of our biases, we must recognize that knowledge does not equal behavior. The solution lies in designing and adopting an investment...
World Scientific, 2020. — 573 p. — ISBN: 9789811219764. "This book provides a comprehensive overview of the emerging field of cultural finance. It summarizes research results of cultural differences in financial decision-making and financial markets. Many of the results have been published in leading academic journals over the last ten years but some are presented here for the...
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...
HEC-ULG Management School, 2007. — 456 p. Analysis of Hedge Fund Performance. Hedge Fund Performance and Persistence in Bull and Bear Markets. The Sustainability of Hedge Fund Performance: New Insights. The Neutrality of Market Neutral Funds. Diversifying using Hedge Funds: A Utility-Based Approach. General Conclusion.
CRC Press, 2023. — 358 p. — (Chapman & Hall/CRC Financial Mathematics Series). — ISBN: 978-1-003-12159-6. Machine Learning (ML) is progressively reshaping the fields of quantitative finance and algorithmic trading. ML tools are increasingly adopted by hedge funds and asset managers, notably for alpha signal generation and stock selection. The technicality of the subject can...
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,...
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...
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...
Palgrave Macmillan, 2022. — 758 p. — ISBN: 3030879216. Fixed-income investments have been a topic of broad interest, in particular for institutional investors such as insurance companies and pension schemes. They were considered safe havens in turbulent times by almost all other institutional and individual investors and are used for strategies such as portfolio immunization...
World Scientific Publishing, 2022. — 494 p. — ISBN: 9789811250149. A century ago, life expectancy was roughly 40 years, hence all income could be consumed, as for most people, there was no need to save for retirement. Today, things have drastically changed: Life expectancy exceeds 80 years in many countries, and one should expect to live and consume many years after retirement....
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,...
Palgrave Macmillan, 2022. — 388 p. — ISBN 3030931501. The book’s central theme is to develop a new theory of speculative capital related to other forms of capital, the world market, and the state. Unlike most Marxist and heterodox theories, the book distinguishes credit and fictitious capital from speculative capital to show its hegemony today in the capital markets....
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...
Wiley, 2020. — 640 p. — ISBN: 1119787963. Discover the latest essential resource on asset allocation for students and investment professionals. Part of the CFA Institute’s three-volume Portfolio Management in Practice series, Asset Allocation offers a deep, comprehensive treatment of the asset allocation process and the underlying theories and markets that support it. As the...
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...