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Real Wealth Without Risk: Escape the "Artificial Wealth Trap" in 48 Hours...or Less!

by J Childers & Robert G Allen

Attorney and personal financial strategist Childers teaches anyone, regardless of their current financial situation, how to give themselves a "financial facelift" in 48 hours or less by following his Wealth...


Risk Arbitrage

by Guy Wyser-Pratte

Originally published in 1982, Risk Arbitrage has become a classic on arbitrage strategies by the "dean of the arbitrage community." It provides an overview of risk arbitrage, how it has been used over the centuries...


Quantitative Trading: How to Build Your Own Algorithmic Trading Business

by Ernie Chan

While institutional traders continue to implement quantitative (or algorithmic) trading, many independent traders have wondered if they can still challenge powerful industry professionals at their own game?...


The Price of Prosperity: A Realistic Appraisal of the Future of Our National Economy (Peter L. Bernstein's Finance Classics)

by Peter L. Bernstein & Paul A. Samuelson

One of the foremost financial writers of his generation, Peter Bernstein has the unique ability to synthesize intellectual history and economics with the theory and practice of investment management. Now, with...


Modern Portfolio Management: Active Long/Short 130/30 Equity Strategies

by Martin L. Leibowitz, Simon Emrich & Anthony Bova

Active 130/30 Extensions is the newest wave of disciplined investment strategies that involves asymmetric decision-making on long/short portfolio decisions, concentrated investment risk-taking in contrast to...


OECD Investment Policy Perspectives 2008

by Collective

This new annual from the OECD provides articles covering recent developments in international investment policy.  This issue includes articles on FDI spillovers, investment regulation and sustainable developement,...


Rating Based Modeling of Credit Risk: Theory and Application of Migration Matrices

by Stefan Trueck & Svetlozar T. Rachev

In the last decade rating-based models have become very popular in credit risk management. These systems use the rating of a company as the decisive variable to evaluate the default risk of a bond or loan. The...


Private Wealth: Wealth Management in Practice

by Stephen M. Horan

An in-depth examination of today's most important wealth management issues

Managing the assets of high-net-worth individuals has become a core business specialty for investment and financial advisors worldwide....


No Excuses: A Business Process Approach to Managing Operational Risk

by Dennis I. Dickstein

Why should a company have an operational risk management function and how should it be organized? No Excuses proposes that operational risk should be examined through the business processes, that is, the flows...


No Excuses: A Business Process Approach to Managing Operational Risk

by Dennis I. Dickstein & Robert H. Flast

Why should a company have an operational risk management function and how should it be organized? No Excuses proposes that operational risk should be examined through the business processes, that is, the flows...


Billion Dollar Green: Profit from the Eco Revolution

by Tobin Smith & Liz Claman

Most Americans have no clue how quickly our internal supplies are crumbling. Tobin Smith will give you the facts and forecasts on growth in the "green investing front" and let you see for yourself just how large...


Seasonal Stock Market Trends: The Definitive Guide to Calendar-Based Stock Market Trading

by Jay Kaeppel

There is a seasonal bias to the stock market, and by paying attention to the seasonal market tendencies you can gain an edge in the stock market over the long haul. Seasonality offers a practical approach to...


Foundations of Energy Risk Management: An Overview of the Energy Sector and Its Physical and Financial Markets

by Global Association of Risk Professionals

GARP's Fundamentals of Energy Risk Management introduces investors to the basic components and some of the basic terminology used in the energy industry. It covers the commodity cycle, energy use and sources,...


Conditional Cash Transfers

by Ariel Fiszbein & Norbert R Schady

Conditional Cash Transfer (CCT) programs aim to reduce poverty by making welfare programs conditional upon the receivers' actions. That is, the government only transfers the money to persons who meet certain...


$700 Billion Bailout: The Emergency Economic Stabilization ACT and What It Means to You, Your Money, Your Mortgage and Your Taxes

by Paul Muolo

The book is an analysis of the controversial Emergency Economic Stabilization Act and explains in easy to understand language what the bailout bill means for individuals. $700 Billion Bailout answers questions...


Reverse Engineering Deals on Wall Street with Microsoft Excel: A Step-By-Step Guide

by Keith A. Allman

A serious source of information for those looking to reverse engineer business deals

It’s clear from the current turbulence on Wall Street that the inner workings of its most complex transactions are poorly...


Trading Without Gambling: Develop a Game Plan for Ultimate Trading Success

by Marcel Link

Many people perceive trading as nothing more than a gamble. But there are still people who consistently make money trading. How do they do it? They've learned to separate gambling from trading. And the way they...


Hedge Fund Operational Due Diligence: Understanding the Risks

Commodity Modeling and Pricing: Methods for Analyzing Resource Market Behavior

by Peter V. Schaeffer

Commodity Modeling and Pricing provides extensions and applications of state-of-the-art methods for analyzing resource commodity behavior. Drawing from the seminal work of Professor Walter Labys on the development...


Clean Money: Picking Winners in the Green Tech Boom

by John Rubino

In Clean Money, John Rubino, Editor of GreenStockInvesting.com, introduces you to the world of clean tech (also known as green tech) and its wealth creation potential. Throughout the book, he explores a variety...