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Intermarket Analysis: Profiting from Global Market Relationships

by John J. Murphy

Praise for INTERMARKET ANALYSIS

"John Murphy has done it again. He dissects the global relationships between equities, bonds, currencies, and commodities like no one else can, and lays out an irrefutable case...


Getting Started in Candlestick Charting

by Tina Logan

If you want to gain an edge in today’s competitive markets, adding the candlestick methodology to your repertoire of technical analysis skills is essential. Getting Started in Candlestick Charting can help...


Mortgage-Backed Securities: Products, Structuring, and Analytical Techniques

by Frank J. Fabozzi & Anand K. Bhattacharya

An in-depth look at the latest innovations in mortgage-backed securities

The largest sector of the fixed-income market is the mortgage market. Understanding this market is critical for portfolio managers, as...


The Asia Investor: Charting a Course Through Asia's Emerging Markets

by Aaron Chaze

Emerging Asia was the fairytale story to emerge from the economic horror that engulfed much of the world in 2008 and 2009. Even at the height of the crisis key emerging Asian economies made headlines for extraordinary...


The Association Guide to Going Global: New Strategies for a Changing Economic Landscape

by Steven Worth, Gregory M. Sipress & Bruce W. Weber

An interactive guide to successfully trading in today's markets

Mastering the Art of Equity Trading Through Simulation is a guidebook to interactive computer trading simulation designed to provide participants...


Charles MacKay's Extraordinary Popular Delusions and the Madness of Crowds: A Modern-Day Interpretation of a Finance Classic

by Tim Phillips

Based on the 1841 market psychology, describing famous financial 'bubbles', including the infamous Dutch tulip mania and the South Sea Company bubble, this title presents an interpretation of Charles Mackay's...


The Greatest Trade Ever: The Behind-the-Scenes Story of How John Paulson Defied Wall Street and Made Financial History

by Gregory Zuckerman

In 2006, hedge fund manager John Paulson realized something few others suspected--that the housing market and the value of subprime mortgages were grossly inflated and headed for a major fall.  Paulson's background...


Fisher Investments on Technology

by Brendan Erne & Andrew Teufel

The sixth installment of the Fisher Investments On series is a comprehensive guide to understanding and analyzing investment opportunities within the Technology sector. Fisher Investments on Technology can help...


The New Science of Asset Allocation: Risk Management in a Multi-Asset World

by Thomas Schneeweis, Garry B. Crowder & Hossein Kazemi

A feasible asset allocation framework for the post 2008 financial world

Asset allocation has long been a cornerstone of prudent investment management; however, traditional allocation plans failed investors miserably...


Macro-Prudential Policies to Mitigate Financial System Vulnerabilities

by Stijn Claessens & Swati R. Ghosh

Macro-prudential policies aimed at mitigating systemic financial risks have become part of the policy toolkit in many emerging markets and some advanced countries. Their effectiveness and efficacy are not well-known,...


Switzerland : Technical Note-Oversight, Supervision, and Risk Management of Financial Market Infrastructures

by International Monetary Fund. Department

In recent years, the IMF has released a growing number of reports and other documents covering economic and financial developments and trends in member countries. Each report, prepared by a staff team after...


Portfolio Flows, Global Risk Aversion and Asset Prices in Emerging Markets

by Nasha Ananchotikul & Longmei Zhang

In recent years, portfolio flows to emerging markets have become increasingly large and volatile. Using weekly portfolio fund flows data, the paper finds that their short-run dynamics are driven mostly by global...


Finance & Development, September 2014

by International Monetary Fund. Exte Dept.

For the latest thinking about the international financial system, monetary policy, economic development, poverty reduction, and other critical issues, subscribe to Finance & Development (F&D). This lively quarterly...


Financial Stability: Fraud, Confidence and the Wealth of Nations

by Frederick L. Feldkamp & R. Christopher Whalen

Applying the Lessons of History to Understanding Fraud Today and Tomorrow

Financial Stability provides a roadmap by which the world can anticipate and avoid future financial disruptions. This unique discussion...


The Taxpayers Guide 2014-2015

by Taxpayers Australia Inc

Answer your questions and maximise returns with this easy-to-follow tax guide

The Taxpayers Guide 2014 – 2015: 26th Edition is the complete guide to understanding the Australian tax system. Packed with tax-saving...


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,...


Do the Type of Sukuk and Choice of Shari'a Scholar Matter?

by Christophe Godlewski & Rima Turk Ariss

Sukuk, the shari’a-compliant alternative mode of financing to conventional bonds, have expanded considerably over the last decade. We analyze the stock market reaction to two key features of this financial...


Balance Sheet Repair and Corporate Investment in Japan

by Joong Shik Kang

We trace Japanese firms’ behavior over the last decades using aggregate corporate balance sheet data. Financial health of Japanese corporate sector has improved and firms paid back significant amount of debt...


Islamic Finance in Sub-Saharan Africa : Status and Prospects

by E. Gelbard & Mumtaz Hussain

Islamic finance is a fast growing activity in world markets. This paper provides a survey on Islamic Finance in SSA. Ongoing activities include Islamic banking, sukuk issuances (to finance infrastructure projects),...


Macroprudential Solvency Stress Testing of the Insurance Sector

by Andreas A. Jobst & Nobuyasu Sugimoto

Over the last decade, stress testing has become a central aspect of the Fund’s bilateral and multilateral surveillance work. Recently, more emphasis has also been placed on the role of insurance for financial...