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- McGraw-Hill Education 2008; US$ 49.95
Insider guidance to the modern world of investment banking today In Investment Banking Explained, Wharton professor and global financier Michel Fleuriet provides a complete overview of investment banking in its modern form; defines key terms; identifies structures, strategies, and operational aspects; and analyzes the strategy in each of the... more...
- Wiley 2012; US$ 21.59
Score your highest in corporate finance The math, formulas, and problems associated with corporate finance can be daunting to the uninitiated. Corporate Finance For Dummies introduces you to the practices of determining an operating budget, calculating future cash flow, and scenario analysis in a friendly, un-intimidating way that makes comprehension... more...
- McGraw-Hill Education 2011; US$ 22.00
You don?t need an MBA to master corporate finance ?Finally, the book which may put Harvard Business School out of business. A must-read for all professionals who seek strong financial expertise.? ?Rick Rickertsen, Managing Partner, Pine Creek Partners; author of Buyout ?Terrific overview of corporate finance and accounting that even the... more...
- Palgrave Macmillan 2014; US$ 30.00
A practical guide to basic and intermediate hedging techniques for traders, structerers and risk management quants. This book fills a gap for a technical but not impenetrable guide to hedging options, and the 'Greek' (Theta, Vega, Rho and Lambda) -parameters that represent the sensitivity of derivatives prices. more...
- Wiley 2011; US$ 26.95
This practical, real-world guide gives investors all the tools they need to make wise decisions when weighing the value and potential of investment properties. Written for old pros as well as novice investors, this friendly, straightforward guide walks readers step by step through every stage of property analysis. Whether you're buying or selling,... more...
- Ashgate Publishing Ltd 2011; US$ 39.95
A Short Guide to Facilitating Risk Management is for all those who need to make sound decisions in important but risky situations; people who work with groups to identify, prioritize and respond to risks, and who wish to deliver value. The authors provide readable and practical advice in terms of avoiding pitfalls, understanding risk management and... more...
- Palgrave Macmillan 2013; US$ 110.00
Financial Communications showcases why it is crucial for financial institutions to enhance key communication processes, rebuild trust with its customer base, improve relationships, and derive better brand awareness amongst key stakeholders within the industry. more...
- Ashgate Publishing Ltd 2012; US$ 109.95
Business Transformation Management Methodology' presents a new approach to business transformation management, developed by a unique partnership of international corporations, academics, and consultants in response to the increasing pressures on organizations to perform in the face of a rapidly changing environment, and the inability of current... more...
- Mohr Siebeck 2013; US$ 32.41
Für die 8. Auflage wurden die empirischen Daten und Quellen erneut aktualisiert. Ergänzt wurden Abschnitte zum Anlegerschutz sowie zum Zusammenhang von Unternehmenszielen und Corporate Governance.<br /><br />"Der Tübinger BWL-Prof hat einen ungewöhnlichen Ansatz gewählt: Er betrachtet die Betriebswirtschaftslehre aus institutionenökonomischer... more...
- Palgrave Macmillan 2014; US$ 90.00
As well as reviewing traditional models, this book proposes an alternative model for estimating the cost of risk capital. This model, known as CaRM (Capital at Risk Model), bases the cost estimate of risk capital on VaR (Value at Risk) for the very first time. This book is an ideal resource for developing valuation research in SMEs. more...