Profiting in Bull or Bear Markets
2001 | 274 pages | ISBN: 0071367063 | PDF | 8 Mb
From boom to bust, business cycles create investment opportunities. Investors who know how to recognize, predict and plan for these cycles reap significant benefits. This knowledge gives investors an edge not only in today's thriving bull market, but in market downturns as well. Managing portfolio performance and volatility is of growing importance for all investors in today's rollercoaster market. Pundits and talking heads alternate between touting the glories of a high-flying market with seemingly no end in sight to warning of the possibilities of a disastrous bear market just waiting to happen.
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An Introduction to Capital Markets: Products, Strategies, Participants
2002 | 655 pages | ISBN:0471498661 | PDF | 6 Mb
This book provides a comprehensive introduction to the global capital markets, explaining the key instruments used in the markets and their practical applications. Containing numerous illustrations and examples it explains how each product or instrument is structured, how it is used in practice, what the principle risks are and how these are monitored and controlled. An Introduction to Capital Markets is an ideal resource for those wanting to understand how the global capital markets operate.
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The Economics of Money, Banking, and Financial Markets
The Economics of Money, Banking, and Financial Markets
Addison Wesley | 2003 | ISBN: 0321200497 | 768 pages | PDF | 20,4 MB
This market-leading text provides the most authoritative, applications-rich coverage of key concepts, models, and issues in money and banking. Frederick Mishkin previously held the post of Executive Vice President and Director of Research at the Federal Reserve Bank of New York. His writing style, latest research, and discussion of policy issues keep his text at the forefront of money and banking. Every new student textbook comes with an access kit to MyEconLab for Mishkin, an online suite of student and instructor tools built around an online version of the entire textbook.
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Debt Capital Markets in China (Wiley Finance)
2007 | 694 pages | ISBN:0471751200 | PDF | 6 Mb
Author Jian Gao is the number one authority on fixed income markets in China, and with this book, he brings his considerable experience and knowledge about these markets to investors worldwide. For those interested in becoming active in China’s growing fixed income markets, Debt Capital Markets in China is the book you need to get started. It includes coverage of the primary and secondary markets, government debt instruments, corporate bonds, the collateralized bond market, and asset-backed securitizations. Debt Capital Markets in China also examines the developing market trends, which affect investors and institutions looking to make the most of this incredible financial opportunity.
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Governing the Modern Corporation: Capital Markets, Corporate Control, and Economic Performance
336 pages | Dec 12, 2006 |ISBN: 0195171675 | PDF | 5 Mb
Nearly seventy years after the last great stock market bubble and crash, another bubble emerged and burst, despite a thick layer of regulation designed since the 1930s to prevent such things. This time the bubble was enormous, reflecting nearly twenty years of double-digit stock market growth, and its bursting had painful consequence. The search for culprits soon began, and many were discovered, including not only a number of overreaching corporations, but also their auditors, investment bankers, lawyers and indeed, their investors.
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Finance: Capital Markets, Financial Management, and Investment Management
242 pages | Feb 12, 2009 |ISBN: 0470407352 | PDF | 6 Mb
Created by the experienced author team of Frank Fabozzi and Pamela Peterson Drake, Introduction to Finance examines the essential elements of this discipline and makes them understandable to a wide array of readers. For seasoned professionals looking for a review or newcomers to the finance profession, this book offers a comprehensive treatment of all finance topics. Issues addressed include the major areas of finance; different asset classes and market players; and concepts such as return, risk, diversification, arbitrage, leverage, and securitization.
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Financial Markets & Corporate Strategy
864 pages | Dec 12, 1999 |ISBN:1526387456 | PDF | 6 Mb
Product Description
This text, appropriate for Corporate Finance at either the undergraduate or graduate level, has been written in a way that makes it both intuitive and non-technical. This text, while rigourous, is both practical and very teachable.
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Inefficient Markets: An Introduction to Behavioral Finance
224 pages | Dec 12, 2007 |ISBN:0198292287 | PDF | 8 Mb
Product Description:
The efficient markets hypothesis has been the central proposition in finance for nearly thirty years. It states that securities prices in financial markets must equal fundamental values, either because all investors are rational or because arbitrage eliminates pricing anomalies.
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Forecasting and Hedging in the Foreign Exchange Markets
205 pages | Feb 12, 2009 |ISBN:3642004946 | PDF | 6 Mb
Product Description:
The growing complexity of many real world problems is one of the biggest challenges of our time. The area of international finance is one prominent example where decision making is often fraud to mistakes, and tasks such as forecasting, trading and hedging exchange rates seem to be too difficult to expect correct or at least adequate decisions.
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Technical Analysis Plain and Simple: Charting the Markets in Your Language (3rd Edition)
English | 352 pages | FT Press; 3 edition (January 29, 2010) | ISBN: 0137042019 | PDF | 8.9 MB
Technical analysis offers powerful, objective tools for picking stocks and making money - and in today's market environment, that makes it more indispensable than ever. Unfortunately, most explanations of the subject simply confuse investors instead of enlightening them. In this clear, practical, fully updated book, Barron's technical analysis columnist Michael N. Kahn introduces state-of-the-art technical analysis techniques in simple language that any investor can understand and use.
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Put Option Strategies for Smarter Trading: How to Protect and Build Capital in Turbulent Markets
English | 240 pages | FT Press (December 21, 2009) | ISBN: 013701290X | PDF | 7.7 MB
Options traders most commonly focus on calls: the right to purchase stock if prices rise. The 2008 stock market crash demonstrated just how misguided this singular emphasis can be: thousands of investors suffered massive losses they could have avoided through the careful, defensive use of strategies based on puts instead of calls. Now, for the first time, there's a comprehensive, balanced guide to using puts to create profits, protect stock positions, and hedge against all types of risk.
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Emerging Markets: Performance, Analysis and Innovation
English | 868 pages | CRC (June 26, 2009) | ISBN: 1439804486 | PDF | 7.4 MB
Although emerging market economies consist of 50% of the global population, they are relatively unknown. Filling this knowledge gap, Emerging Markets: Performance, Analysis and Innovation compiles the latest research by noteworthy academics and money managers from around the world. With a focus on both traditional emerging markets and new areas, such as the Balkan, Middle East, and North African regions, it looks at how these markets can serve as drivers of portfolios and a significant force over the long term.
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30.09.2009
Telecommunication Markets: Drivers and Impediments
Physica-Verlag Heidelberg | ISBN: 3790820814 | 2009-06-01 | PDF | 525 pages | 5 MB
Telecommunication markets are characterized by a dynamic development of technology and market structures. The specific features of network-based markets, convergence of previously separate spheres and the complex task of market regulation put traditional theoretical approaches as well as current regulatory policies to the test.
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