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Bond Portfolio Investing and Risk Management

by Vineer Bhansali

Learn the fine art of risk measurement and control—from a senior member of PIMCO!

Bond Portfolio Investing and Risk Management is designed for one purpose—to help you do the most important part of your job....


Strategic Risk Taking: A Framework for Risk Management, Adobe Reader

by Aswath Damodaran

In business and investing, risk has traditionally been viewed negatively: investors and companies can lose money due to risk and therefore we typically penalize companies for taking risks. That’s why most...


Essentials of Working Capital Management

by James Sagner

A comprehensive primer for executives and managers on working capital management

With limited access to credit and short term funding, it is increasingly important that companies focus on working capital management...


Winning at Risk: Strategies to Go Beyond Basel

by Annetta Cortez

Practical risk and capital management strategies for financial service executives and high level managers

Winning at Risk is a primer for senior executives and directors struggling to interpret the growing demands...


Valuation Workbook: Step-By-Step Exercises and Tests to Help You Master Valuation

by McKinsey & Company Inc.

The ideal companion to Valuation, Fifth Edition

If you want to get more out of Valuation, Fifth Edition, then pick up the Valuation Workbook. This comprehensive study guide provides you with an invaluable opportunity...


Private Capital Markets: Valuation, Capitalization, and Transfer of Private Business Interests + Website

by Robert T. Slee

Praise for Private Capital Markets

Valuation, Capitalization, and Transfer of Private Business Interests

"In the years since publication of the first edition of Private Capital Markets, the concepts and ideas...


QFINANCE: The Ultimate Resource, 4th edition

by Bloomsbury Publishing

QFINANCE: The Ultimate Resource (4th edition) offers both practical and thought-provoking articles for the finance practitioner, written by leading experts from the markets and academia. The coverage is expansive...


Global Credit Review: Volume 3

by Singapore Risk Management Institute

Global Credit Review is an annual publication that provides an overview of the most important developments in global credit markets and the regulatory landscape. The third volume provides some critical analysis,...


Financial Statements Analysis: Cases from Corporate India: Cases from Corporate India

by Sandeep Goel

Financial analysis is integral to business sustainability in determining an organisation's financial viability and revealing its strengths and weaknesses, a key requirement in today's competitive business environment....


Governance in Immigrant Family Businesses: Enterprise, Ethnicity and Family Dynamics

by Daphne Halkias & Christian Adendorff

Conservative estimates put the proportion of worldwide business enterprises owned or managed by families at 65%. The importance of family businesses to the economies of both developed and developing countries...


Investing and the Irrational Mind: Rethink Risk, Outwit Optimism, and Seize Opportunities Others Miss

by Robert Koppel

Behavioral finance expert and bestselling author Robert Koppel shows traders and investors how to invest your money rationally, even in an irrational world

"Investing," according to Robert Koppel, "Involves...


State-Owned Enterprise in the Western Economies

by Raymond Vernon & Yair Aharoni

First published in 1981, this edited collection reviews the operations of state-owned enterprises, examining the actual performance of such organisations in the advanced industrialised countries. The authors...


Handbook of Asian Finance: Reits, Trading, and Fund Performance

by David Lee & Greg N. Gregoriou

Participants in Asian financial markets have witnessed the unprecedented growth and sophistication of their investments since the 1997 crisis.  The Handbook of Asian Finance:  Financial Markets and Wealth...


Risk Management in Trading: Techniques to Drive Profitability of Hedge Funds and Trading Desks

by Davis Edwards

A comprehensive resource for understanding how to minimize risk and increase profits

In this accessible resource, Wall Street trader and quantitative analyst Davis W. Edwards offers a definitive guide for nonprofessionals...


Corporate Strategies in Recession and Recovery: Social Structure and Strategic Choice: Social Structure and Strategic Choice

by Richard Whittington

First published in 1989, this book is based on detailed comparative case studies of eight firms' responses to the recession of the early 1980s, the worst crisis for British manufacturing in the post-war period....


A Pragmatic Look at Valuation (Collection)

by Barbara S. Petitt, Kenneth R. Ferris & George Chacko

A new collection of corporate finance best practices for establishing accurate valuations… 2 authoritative books, now in a convenient e-format, at a great price!

 

2 authoritative eBooks help you accurately...


Recent Advances in Financial Engineering 2012: Proceedings of the International Workshop on Finance 2012

by Akihiko Takahashi, Yukio Muromach & Takashi Shibata

Recent Advances in Financial Engineering 2012 is the Proceedings of the International Workshop on Finance 2012, which was held at the University of Tokyo on October 30 and 31, 2012. This workshop was organized...


The Art of Distressed M&A: Buying, Selling, and Financing Troubled and Insolvent Companies

by H. Peter Nesvold & Jeffrey Anapolsky

Pessimists see distressed M&A . . .

Optimists see distressed M&A

Opportunities abound in "bankruptcy beauties"-both in good times and bad. Distressed mergers and acquisitions used to be the domain of a handful...


Fixed Income Finance: A Quantitative Approach

by Mark Wise & Vineer Bhansali

A complete guide for professionals with advanced mathematical skills but little or no financial knowledge . . .

You're smart. Logical. Mathematically adept. One of those people who can make quick work of long,...


Foreign Investment and Spillovers

by Magnus Blomstrom

The spillover effect of multinational companies has, historically, been subject to much debate. The assumption that the host country can be expected to enjoy spillovers - improvements in the balance of payments,...