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Invaluable information regarding one of the biggest worldwide growth areas in investing-infrastructure assets Infrastructure investing is about to explode on the worldwide scene. The fact is that real money will need to be spent on real projects-which will present real opportunities for stable, long-term returns.
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 in 2008.
* This book develops the detailed economic analyses at the micro (individual) and macro (economy wide) levels to discuss the debates about the economics of an aging population, including retirement and the associated health care funding of the aged.
Often financial computing guidebooks provide only quick-and-dirty implementations of financial models, rarely related to real-world applications. Professional Financial Computing Using Excel and VBA provides reusable, flexible, real-world implementations of financial models.
An informative guide offering new and innovative ways to think about active management and investing ActiveBeta Indexes presents exciting new research that shows how above-market returns can be achieved in a low-cost, transparent, and efficient fashion.
A detailed look at how to fix the hedge fund industry The Future of Hedge Fund Investing spells out in refreshingly stark terms exactly how the industry let down its clients, and the changes needed to restore their confidence.
* Wealthy individuals are growing double/digit around the world. * Banks and other financial institutions are competing to capture them by investing heavily into offices, events, advertising, people, etc. Despite these efforts few manage to get it right.
A comprehensive look at the emergence of infrastructurefinanceJust as infrastructure development acts as a catalyst foreconomic growth, it is also changing the landscape for potentialinvestors and the burgeoning field of infrastructure finance.
Looks at security analysis and business valuation, as practiced by Wall Street, Corporate America, and international businesses. This book shows the methodical process that practitioners use to value common stocks and operating companies and to make buy/sell decisions.
A companion Workbook to the text MicroMarkets Understanding how microeconomics affects the marketplace isessential for any investment professional, however most bookssimply address microeconomics in its pure theory-based form.
A classic book on credit risk management is updated to reflect the current economic crisis Credit Risk Management In and Out of the Financial Crisis dissects the 2007-2008 credit crisis and provides solutions for professionals looking to better manage risk through modeling and new technology.
An accessible guide to effectively operating in the hedge fund arena Hedge funds are now in the news more than a thousand times a day and yet it is hard to find clear, factual information about how they operate, raise capital, and invest.
* This book is particularly valuable, especially in this challenging financial climate, because it gives in-depth answers to these questions about DC plan design from the nation's most qualified and experienced experts.
An informative guide to market microstructure and trading strategies Over the last decade, the financial landscape has undergone a significant transformation, shaped by the forces of technology, globalization, and market innovations to name a few.
Invaluable insights on trading today's futures market The CME Risk Management Handbook provides an accessible overview of the futures market in today's electronic world of trading. Page by page, it outlines the various CME products currently available and explains how those products can be used to manage risk.
Full coverage of ETF investments from an expert in the field The initial edition of Gary Gastineau's The Exchange-Traded Fund Manual was one of the first books to describe and analyze ETFs.
A professional's guide to the world of hedge fund investing Throughout the financial crisis of 2008, many hedge funds suffered massive losses and were often blamed for the extreme market upheavals.
* Stuart Gilson is one of the leading corporate restructuring experts in the United States, teaching thousands of students and consulting with numerous companies. * Now, in the second edition of this bestselling book, Gilson returns to present new insight into corporate restructuring.
* Managing Your Firm's 401(k) Plan is written for finance and benefits professionals in the field of creating, managing, and sponsoring employee 401(k) plans.
A step-by-step guide to implementing and closing securitization transactions Securitization is still in wide use despite the reduction in transactions.
*Commercial Real Estate Restructuring Revolution looks at the problems affecting the commercial real estate market and how it will affecting the banking sector * Commercial real estate (CRE) loans are the second largest loan type after home mortgages * Author Stephen B.
Presents academic research on how to beat the market using equity anomalies. This book addresses such anomalies as: the accrual anomaly, net stock anomalies, fundamental anomalies, estimate revisions, changes in and levels of broker recommendations, earnings-per-share surprises, insider trading, and several seasonal anomalies.
* With an eye toward the future, he has crafted a comprehensive and practical book that emphasizes an intuitive approach to the financial and quantitative foundations of financial and risk engineering and its many applications to asset pricing and risk management.
Experts from NYU Stern School of Business analyze new financial regulations and what they mean for the economy The NYU Stern School of Business is one of the top business schools in the world thanks to the leading academics, researchers, and provocative thinkers who call it home.
DIY Financial Advisor: A Simple Solution to Build and Protect Your Wealth DIY Financial Advisor is a synopsis of our research findings developed while serving as a consultant and asset manager for family offices.
Asset Securitization is intended for beginners and market professionals alike who are interested in learning about asset securitization its concepts and practices. It is designed so that the readers will come away with a fundamental but comprehensive understanding of the asset securitization market.
* Islamic Finance discusses the risk in Islamic banking and the regulatory framework which includes capital adequacy, corporate governance, transparency and risk associated with Islamic banking.
The essential reference for financial risk management Filled with in-depth insights and practical advice, the Financial Risk Manager Handbook is the core text for risk management training programs worldwide.
New banking and investment business models to navigate the post-financial crisis environment The financial crisis of 2007-2008 has discredited business models in the banking and fund management industries.
Covers each of the main methods used to calculate value or return in the stock market, along with descriptions of how and when to use them, as well as their strengths and weaknesses. This book includes balance sheet methods, dividend discount methods, discounted cash flow methods, price ratio methods, and many others.
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