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Finance

Most popular at the top

  • Investing between the Lines with Warren Buffetby L.J. Rittenhouse

    McGraw-Hill Education 2013; US$ 46.00

    TWO E-BOOKS IN ONE Investing Between the Lines Investing Between the Lines introduces a revolutionary method for evaluating the financial integrity of a company. You don?t need special access to ?insider? information or a degree in accounting to figure it out. In fact, the secret is right in front of you?in black and white?in the words of... more...

  • Modern Bankingby Shelagh Heffernan

    Wiley 2005; US$ 85.00

    Modern Banking focuses on the theory and practice of banking, and its prospects in the new millennium. The book is written for courses in banking and finance at Masters/MBA level, or undergraduate degrees specialising in this area. Bank practitioners wishing to deepen and broaden their understanding of banking issues may also be attracted to this... more...

  • Mergers and Acquisitions from A to Zby Andrew J. Sherman; Milledge A. Hart

    AMACOM 2005; US$ 35.00

    The classic, comprehensive guide to mergers and acquisitions, now completely updated for today's market. more...

  • Measuring Market Riskby Kevin Dowd

    Wiley 2007; US$ 125.00

    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 information to help with specific calculations, and new examples including Q&A?s and case studies. more...

  • An Introduction to Bankingby Moorad Choudhry; Oldrich Masek

    Wiley 2011; US$ 65.00

    "A great write-up on the art of banking. Essential reading for anyone working in finance." Dan Cunningham, Senior Euro Cash & OBS Dealer, KBC Bank NV, London "Focused and succinct review of the key issues in bank risk management." Graeme Wolvaardt, Head of Market Risk Control, Europe Arab Bank plc, London The importance of banks to the... more...

  • The Big Shortby Michael Lewis

    Penguin Books Ltd 2011; US$ 15.98

    'We fed the monster until it blew up ...' While Wall Street was busy creating the biggest credit bubble of all time, a few renegade investors saw it was about to burst, bet against the banking system - and made a fortune. From the jungles of the trading floor to the casinos of Las Vegas, this is the outrageous story of the misfits, mavericks... more...

  • Bank Asset and Liability Managementby Moorad Choudhry; Irving Henry

    Wiley 2011; US$ 136.00

    Banks are a vital part of the global economy, and the essence of banking is asset-liability management (ALM). This book is a comprehensive treatment of an important financial market discipline. A reference text for all those involved in banking and the debt capital markets, it describes the techniques, products and art of ALM. Subjects covered include... more...

  • Advanced Financial Risk Managementby Donald R. Van Deventer; Kenji Imai; Mark Mesler

    Wiley 2013; US$ 163.00

    Practical tools and advice for managing financial risk, updated for a post-crisis world Advanced Financial Risk Management bridges the gap between the idealized assumptions used for risk valuation and the realities that must be reflected in management actions. It explains, in detailed yet easy-to-understand terms, the analytics of these issues... more...

  • Preventing Regulatory Captureby Daniel Carpenter; David A. Moss

    Cambridge University Press 2013; US$ 20.00

    Brings together leading scholars from across the social sciences whose work presents empirical evidence that the obstacle of regulatory capture is more surmountable than previously thought. more...

  • Estimating SMEs Cost of Equity Using a Value at Risk Approachby Federico Beltrame; Roberto Cappelletto; Gabriele Toniolo

    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...