A fully revised BusinessWeek bestseller that will help even beginning investors cash in on the 21st-century real estate boom. Zobraziť viac
Financial Risk Modelling and Portfolio Optimization with R, 2nd Edition... Zobraziť viac
This book provides a comprehensive assessment of the causes and implications of the 1992 93 crisis of the exchange rate mechanism. Zobraziť viac
The world of business has changed significantly in recent years. Why? Because business has increasingly made more use of the probability, statistical methods and analytic techniques in areas where they previously were not used at all... Zobraziť viac
Praise for International Economic Indicators and Central Banks... Zobraziť viac
This book takes a theoretical and practical look at some of the latest and most important ideas behind derivatives pricing models. In each chapter the author highlights the latest thinking and trends in the area. A wide range of topics is covered,... Zobraziť viac
Bücher zum Thema Investment gibt es viele, doch nur wenige sind so zeitlos gültig wie dieses. In seinem charmanten, direkten Stil beweist Rukeyser, daß die besten Ratschläge zur Geldanlage tatsächlich zeitlos sind. Er liefert faszinierende Einblicke in... Zobraziť viac
Hedge funds are one of the most controversial institutions in modern finance. This book explains their workings, their benefits and the necessary policy reforms to curb their most damaging effects. It uses case study material from Hong Kong, Indonesia... Zobraziť viac
For many years asset management was considered to be a marginal activity, but today, it is central to the development of financial industry throughout the world. Asset management's transition from an "art and craft" to an industry has inevitably called... Zobraziť viac
Deals with areas at interface between finance and mathematics. Zobraziť viac
The Real Book of Real Estate is the one book, the bible, of real estate advice and techniques every investor needs to navigate through the ups, the downs, and the in-betweens of the real estate market and come out on top... Zobraziť viac
Fully revised and restructured, Measuring Market Risk, Second Edition includes a new chapter on options risk management, as well as substantial new information on parametric risk, non-parametric measurements and liquidity risks, more practical... Zobraziť viac
An introduction to the mathematical skills needed to understand finance and make better financial decisions... Zobraziť viac
Summarizes recent theoretical developments in statistical tools to measure financial markets, for students and professionals in econophysics and analytical markets. Zobraziť viac
"This new book on retail banking is both readable and innovative. Its analysis is unusually accessible in its style, and the book's conclusions and predictions will be rightly thought provoking. The customer is gaining real power and this new book's... Zobraziť viac
In classical life insurance mathematics the obligations of the insurance company towards the policy holders were calculated on artificial conservative assumptions on mortality and interest rates. However, this approach is being superseded by... Zobraziť viac
Tony Robbins turns to the topic that vexes us all: How to secure financial freedom for ourselves and for our families. ';If there were a Pulitzer Prize for investment books, this one would win, hands down' (Forbes)... Zobraziť viac
Written by leading officials at the European Central Bank, this volume examines the theoretical and historical underpinnings of the euro areas's framework for monetary policy implementation. Zobraziť viac
This book is a course in methods and models rooted in physics and used in modelling economic and social phenomena. It covers the discipline of econophysics, which creates an interface between physics and economics. Besides the main theme, it touches... Zobraziť viac