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- Springer-Verlag New York Inc 2006; US$ 209.00
Why have we not followed the international trend, and should we? Can the unique services offered by the floor be provided as effectively in an electronic environment? Which environment would institutional and retail traders each find most suitable to their special needs? This book addresses some of these questions. more...
- Wiley 2007; US$ 24.95
Praise for Your Financial Edge "Paul McCulley is the man to heed. His knowledge of financial markets runs deep, and his experience has been the best. Beyond all his financial and economic wisdom, he is a human being with inborn instincts of kindness and thoughtfulness-attributes that bring to the reader something richer than just hard facts and sage... more...
- Wiley 2007; US$ 24.95
Proven techniques for leading-instead of following-fast-changing markets Investors, no matter what strategy they are using, can be placed into two categories. Single-minded, inflexible hedgehogs lock into one strategy and stick with it through thick and thin. Dynamic, adaptable foxes, on the other hand, are alert for changes, learn from experience,... more...
- Wiley 2011; US$ 95.00
Praise for Active Alpha "Active alpha is the quest for every sophisticated investor. Thisbook covers all of the key alpha sources currently mined by activemanagers, reduces the complexity of the subject, and helps theinvestor get started in the right direction." -Mark Anson, Chief Executive Officer, Hermes Pensions ManagementLtd. "Long-held traditional... more...
- Springer-Verlag Berlin and Heidelberg GmbH & Co. KG 2007; US$ 49.95
Analyzes multivariate estimation methods, including non-parametric, maximum-likelihood under non-normal hypotheses, shrinkage, robust, and general Bayesian techniques. Portfolio optimization is presented with emphasis on estimation risk, which is tackled by means of Bayesian, resampling and robust optimization techniques. more...
- Springer-Verlag Berlin and Heidelberg GmbH & Co. KG 2006; US$ 79.99
Fills a gap in the financial literature by bringing together both advances in the theory of implied volatility and refined semiparametric estimation strategies and dimension reduction methods for functional surfaces. This work discusses modeling approaches such as implied trees, mixture diffusion, or stochastic implied volatility models. more...
- Springer-Verlag Berlin and Heidelberg GmbH & Co. KG 2006; US$ 119.00
A treatment of structural credit risk models for simultaneous and consistent pricing of corporate securities. This book takes us from the economic principles of firm value models to the empirical implementation, through the development of an economic framework. It provides exposition of corporate securities pricing for academics and practitioners. more...
- Thorogood Publishing 1998; US$ 258.00
Paul Nichols graduated as an economist and has spent his career in corporate finance in this country and overseas. Although he has specialised in pricing and strategic planning he also managed a captive leasing campaign for a major multinational. He was for a time seconded to the staff of the Government Price Commission. He is now director of Future... more...
- Wiley 2007; US$ 49.95
In an age of twenty-four-hour news coverage and cutting-edge technology, world events dominate our lives and impact the financial markets. From hurricanes to the war in Iraq, we exist in a crazy, connect-the-dot planet. However, the well-prepared investor can turn these events into profits. All they need is the ability to recognize the consistent characteristics... more...
- Wiley 2007; US$ 22.95
Paths to Wealth through Common Stocks contains one original concept after another, each designed to greatly improve the results of those who self-manage their investments -- while helping those who rely on professional investment advice select the right advisor for their needs. Originally written by investment legend Philip A. Fisher in 1960, this... more...