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Most popular at the top
- Wiley 2013; US$ 95.00
A comprehensive introduction to various numerical methods used in computational finance today Quantitative skills are a prerequisite for anyone working in finance or beginning a career in the field, as well as risk managers. A thorough grounding in numerical methods is necessary, as is the ability to assess their quality, advantages, and limitations.... more...
- Bloomsbury Publishing 2010; US$ 61.99
Islamic Finance: Instruments and Markets looks at the application of Sharia law to the world of banking and finance. It provides you with an understanding of the rationale behind the instruments and the rapidly developing Islamic financial markets. Coverage includes in-depth analysis of the financial instruments within the Sharia framework and... more...
- Bloomsbury Publishing 2013; US$ 7.99
First published in 1981, The Money Lenders reveals the power, the workings and the personalities of the money men who have made the world go round: The Superbankers – including Chase Manhattan's David Rockefeller, Citibank's Walter Wriston, Lloyds' Sir Jeremy Morse and Robert McNamara. The debt-ridden regimes of Poland and Iran, Brazil and Zaire,... more...
- Bloomsbury Publishing 2010; US$ 39.99
Approaches to Enterprise Risk Management is a multi-author book written by leading experts in the field of risk management including Aswath Damodoran, John C. Groth and David Shimko. It is a valuable tool that enables you to assess the potential business threats, both from within your organization and from external sources. It comprises over 25... more...
- Elsevier Science 2001; US$ 1,120.00
Establishing and maintaining effective transfer pricing policies is a key challenge in today's increasingly competitive international financial services sector. There are numerous issues involved, from the requirements of shareholders and risk management to the allocation of capital. There are also many different techniques for establishing efficient... more...
- Palgrave Macmillan 2014; US$ 50.00
Former banker Philippe Espinasse, offers advice for the interview, selection and appointment of lead banks, as well as for the execution of an IPO. The book includes case studies from around the world and explains negotiation techniques through which issuers can save considerable time, effort and costs, and also limit their potential liabilities. more...
- Wiley 2014; US$ 140.00
Managing Energy Risk is a practical guide to using modern techniques in financial mathematics for trading energy. Following the successful first edition of the book, this second edition catches up with significant developments of energy markets over the last years and contains plenty of new material especially on gas markets and renewable energy.... more...
- Penguin Books Ltd 2014; Not Available
Did the City of London swindle the world out of a trillion dollars? Following her bestseller Madoff , the inside story of the Bernard Madoff scandal, Erin Arvedlund brings her investigative reporting and deep financial expertise to the first book to tell the full story of the Libor scandal. Arvedlund takes us behind the scenes of elite... more...
- World Scientific Publishing Company 2005; US$ 96.00
This monograph represents a unified coherent perspective of financial markets and the theory of corporate finance. The Fisher model is used in corporate finance texts to note the foundations of the net present value rule, but has not been developed further in textbooks as a perspective for students of the finance discipline. This book articulates corporate... more...
- Wiley 2014; US$ 80.00
A comprehensive resource for understanding how to minimize risk and increase profits In this accessible resource, Wall Street trader and quantitative analyst Davis W. Edwards offers a definitive guide for nonprofessionals which describes the techniques and strategies seasoned traders use when making decisions. Risk Management in Trading includes... more...