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Probability for Finance

Probability for Finance

Students and instructors alike will benefit from this rigorous, unfussy text, which keeps a clear focus on the basic probabilistic concepts required for an understanding of financial market models, including independence and conditioning... Zobraziť viac

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Buffett: The Biography

Buffett: The Biography

Starting from scratch, simply by picking stocks and companies for investment, Warren Buffett has amassed an astonishing fortune - a net worth of $64 billion and counting. His awesome investment record has made him a cult figure popularly known... Zobraziť viac

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A Random Walk Down Wall Street

A Random Walk Down Wall Street

In a time of market volatility and economic uncertainty, when high-frequency traders and hedge fund managers seem to tower over the average investor, Burton G. Malkiel's classic and gimmick-free investment guide is ... Zobraziť viac

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A Random Walk Down Wall Street

A Random Walk Down Wall Street

Updated with a new chapter that draws on behavioral finance, the field that studies the psychology of investment decisions, here is the best-selling, authoritative, and gimmick-free guide to investing... Zobraziť viac

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Modeling, Measuring and Hedging Operational Risk

Modeling, Measuring and Hedging Operational Risk

"Modelling and Measuring Operational Risk" ist das einzige Buch auf dem Markt, das sich ausschließlich der quantitativen Messung und Modellierung des Betriebsrisikos widmet. Hierzu gehören z.B. Fehler bei der Transaktionsbearbeitung,... Zobraziť viac

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GSI Commodities

GSI Commodities

A Handy Road Map To Making Moneyin The Commodities Market... Zobraziť viac

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Rich Dad, Poor Dad

Rich Dad, Poor Dad

What The Rich Teach Their Kids About Money - That The Poor And Middle Class Do Not!... Zobraziť viac

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Global Convertible Investing

Global Convertible Investing

"Global Convertible Investing" ist eine verständlich geschriebene Einführung zum Thema wandelbare Wertpapiere. Das Buch eignet sich sowohl für Anfänger als auch für fortgeschrittene Leser. Es behandelt die Grundlagen wandelbarer Wertpapiere, ihre... Zobraziť viac

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Tech Analysis Currency Market

Tech Analysis Currency Market

Proven currency-specific trading strategies from one of today's top currency analysts... Zobraziť viac

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Liquidity and Asset Prices

Liquidity and Asset Prices

Yakov Amihud, (2005)

Liquidity and Asset Prices reviews the literature that studies the relationship between liquidity and asset prices. The authors review the theoretical literature that predicts how liquidity affects a security's required return and discuss the empirical... Zobraziť viac

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Commodities Rising

Commodities Rising

Praise for Commodities Rising... Zobraziť viac

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The Art of Speculation

The Art of Speculation

Was ist der Unterschied zwischen Spekulation und Investition? Kennen Sie die 12 Gebote für Spekulanten? Dies und eine Fülle weiterer Tips zu Marktbewegungen, Marktanalysen, Bilanzen und Vorhersagen verrät Ihnen dieses umfassende, aber leicht lesbare Buch. Zobraziť viac

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Damodaran, A: Investment Valuation

Damodaran, A: Investment Valuation

The definitive source of information on all topics related to investment valuation tools and techniques... Zobraziť viac

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Forced Saving

Forced Saving

The rapid ageing of the world's populations has seen a level of anxiety and urgency by governments around the world to set up or overhaul their mandatory pension policies. This analysis, first published in 2001, compares and contrasts the policies of... Zobraziť viac

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The Davis Discipline

The Davis Discipline

Bestsellerautor John Rothchild erzählt hier die Geschichte dreier Generationen der legendären Davis Familie, die zu den erfolgreichsten Anlegern in der Geschichte der Wall Street zählt. Geistreich und mit viel Liebe zum Detail präsentiert Rothchild... Zobraziť viac

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An Introduction to Fund Management 3e

An Introduction to Fund Management 3e

This guide is derived from the author's notes for the two-day course of the same name that he presents for the Securities and Investment Institute... Zobraziť viac

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Duration, Convexity, and Other Bond Risk Measures

Duration, Convexity, and Other Bond Risk Measures

Duration, Convexity and other Bond Risk Measures offers the most comprehensive coverage of bond risk measures available. Financial expert Frank Fabozzi walks you through every aspect of bond risk measures from the price volatility characteristics of... Zobraziť viac

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Trading Forex

Trading Forex

Solid Forex strategies for capturing profits in today's volatile markets... Zobraziť viac

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Asset Management

Asset Management

In den letzten Jahren hat es im Bereich der Vermögensverwaltung eine Reihe drastischer Veränderungen gegeben: Globalisierung, neue Technologien, 24-Stunden-Trading, Zunahme von Pensionsfonds und verstärkter Einsatz quantitativer Verfahren - dies alles... Zobraziť viac

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Debt

Debt (e-kniha)

Now in paperback, the updated and expanded edition: David Graeber’s “fresh .?.?. fascinating .?.?. thought-provoking .?.?. and exceedingly timely” (Financial Times) history of debt ... Zobraziť viac

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