
Adrian Buckley “Multinational Finance"
Financial Times Management | 2003-12 | ISBN: 0273682091 | 776 pages | PDF | 13,9 MB
Multinational Finance is an authoritative and comprehensive description of the theory and practice of international finance and its management. This fifth edition builds on the strengths of previous editions, offering a user-friendly guide to the subject that moves through the basics to the advanced with clarity and conciseness. The content has been thoroughly revised to incorporate the most up to date information in terms of markets, coverage of new financial instruments, and the latest empirical work (in particular in relation to discount rates and required rates of return). A key feature of this edition is its strong European orientation, a theme that runs throughout the book and makes Multinational Finance unique in its field. Multinational Finance is recommended for undergraduate, MBA and other postgraduate courses in international financial management taken as a part of a degree programme in finance or international business. The book also caters for professionals in the financial field.
Strong European orientation with full coverage of markets and issues relating to this region make the book ideal for courses in Europe. Plenty of exercises and multiple choice questions are provided for each part to allow students to track their own progress. Each chapter ends with an extensive summary, sign-posted with bullet points to ease the revision of key points. Much-praised, comprehensive glossary.
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30 Dec 2008
Andreas Kyprianou, Wim Schoutens, Paul Wilmott " Exotic Option Pricing and Advanced Lévy Models"

Andreas Kyprianou, Wim Schoutens, Paul Wilmott " Exotic Option Pricing and Advanced Lévy Models"
Wiley | 2005-10-21 | ISBN: 0470016841 | 344 pages | PDF | 12,5 MB
Since around the turn of the millennium there has been a general acceptance that one of the more practical improvements one may make in the light of the shortfalls of the classical Black-Scholes model is to replace the underlying source of randomness, a Brownian motion, by a Lévy process. Working with Lévy processes allows one to capture desirable distributional characteristics in the stock returns. In addition, recent work on Lévy processes has led to the understanding of many probabilistic and analytical properties, which make the processes attractive as mathematical tools. At the same time, exotic derivatives are gaining increasing importance as financial instruments and are traded nowadays in large quantities in OTC markets. The current volume is a compendium of chapters, each of which consists of discursive review and recent research on the topic of exotic option pricing and advanced Lévy markets, written by leading scientists in this field.
In recent years, Lévy processes have leapt to the fore as a tractable mechanism for modeling asset returns. Exotic option values are especially sensitive to an accurate portrayal of these dynamics. This comprehensive volume provides a valuable service for financial researchers everywhere by assembling key contributions from the world's leading researchers in the field. Peter Carr, Head of Quantitative Finance, Bloomberg LP.
This book provides a front-row seat to the hottest new field in modern finance: options pricing in turbulent markets. The old models have failed, as many a professional investor can sadly attest. So many of the brightest minds in mathematical finance across the globe are now in search of new, more accurate models. Here, in one volume, is a comprehensive selection of this cutting-edge research. Richard L. Hudson, former Managing Editor of The Wall Street Journal Europe, and co-author with Benoit B. Mandelbrot of The (Mis)Behaviour of Markets: A Fractal View of Risk, Ruin and Reward
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19 Dec 2008
Tobin Smith "Billion Dollar Green: Profit from the Eco Revolution"

Tobin Smith "Billion Dollar Green: Profit from the Eco Revolution"
Wiley | 2008-12-22 | ISBN: 047034377X | 186 pages | PDF | 1,1 MB
Most Americans have no clue how quickly our internal supplies are crumbling. Tobin Smith will give you the facts and forecasts on growth in the "green investing front" and let you see for yourself just how large this opportunity is - right now and for years to come. This is the fastest growing sector - 13-fold over the next decade! Clean UP will show you how to make a small fortune now from "bridge green technologies," closing the gap between traditional and alternative fuels. Smith will also introduce you to a number of segments of the green investing world--taking you inside these agents of change and detail 8 to 10 companies who are real growth stocks with investment profit potential. This book is for anyone interested in investing in the companies that will make billions from the solutions to the billion-dollar problems in the green technology space.
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18 Dec 2008
Consumer Dummies "Managing Your Money All-In-One For Dummies"

Consumer Dummies "Managing Your Money All-In-One For Dummies"
For Dummies | 2008-11-10 | ISBN: 0470345462 | 696 pages | PDF | 4,9 MB
Want to take control of your finances once and for all? Managing Your Money All-in-One For Dummies combines expert money management with personal finance tips. From credit cards and insurance to taxes, investing, retirement, and more, seven mini-books show you how to improve your relationship with money — no matter your age or stage of life.
This easy-to-understand guide shows you how to assess your financial situation, calculate debt, prepare a budget, trim spending, boost your income, and improve your credit score. You’ll find ways to run a money-smart household, reduce waste, and cut medical and transportation expenses as you tackle your debt head-on and develop good saving habits. You’ll even get help choosing the right mortgage and avoiding foreclosure, saving for college or retirement, and determining your home-, car-, and life insurance needs. Discover how to:
Take charge of your finances
Manage home and personal finances
Lower your taxes and avoid tax audits
Plan a budget and scale back on expenses
Deal with debt and negotiate with creditors
Save and invest safely for college or retirement
Protect your money and assets from fraud and identity theft
Ensure a comfortable retirement
Plan your estate and safeguard a will or trust
Managing Your Money All-in-One For Dummies brings you seven great books for the price of one. Can you think of a better way to start managing your money wisely?
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Tracy Barr " Living Well in a Down Economy For Dummies"

Tracy Barr " Living Well in a Down Economy For Dummies"
For Dummies | 2008-08-25 | ISBN: 0470401176 | 352 pages | PDF | 1,6 MB
Get smart about spending and saving -- and ride out a recession!
Looking for practical ways to make every dollar count? This savvy guide gives you expert tips for tightening your belt and saving cash in every area of your life -- from your house and car to dining and entertaining to banking and managing debt. You get realistic solutions for making smarter choices and living well in this time of economic turmoil -- without extraordinary sacrifice!
Bump up your take-home pay-- spiff up your resume, find a good job fast, explore telecommuting, or start a home-based business
Get your personal finances in tip-top shape -- create a budget, pay down debt, save on insurance, and protect your retirement funds
Develop recession-proof habits -- use coupons and rebates, extend the life of your wardrobe, utilize community resources, travel on a budget, and save on utilities and fuel expenses
Decorate on a dime and entertain on a shoestring -- plan parties, celebrate the holidays, and give gifts without losing your shirt
Bounce back from bad financial situations -- improve bad credit scores, and negotiate with creditors or the IRS
Open the book and find:
125 tips for making changes in your life that allow you to continue to live well
Ways to stand out on paper and in an interview when looking for a job
Tips on managing debt -- from working with credit counselors and consolidating your debts to boosting your income
Smart solutions for weathering financial emergencies, from bankruptcy to foreclosure
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17 Dec 2008
Bill Staton "Double Your Money in America's Finest Companies: The Unbeatable Power of Rising Dividends"

Bill Staton "Double Your Money in America's Finest Companies: The Unbeatable Power of Rising Dividends"
Wiley | 2008-12-03 | ISBN: 0470336048 | 238 pages | PDF | 1,7 MB
A detailed guide to investing in America's Finest Companies
Bill Staton has helped thousands of investors increase their wealth with a commonsense approach to investing. It's simple, and it works: Invest in well-run, profitable companies with long histories of rising annual earnings and dividends. Now, in Double Your Money in America's Finest Companies, Staton shows readers how to achieve this goal. He reveals how to screen public companies, scrutinize their earnings history, and invest in those that consistently pay higher yearly cash dividends. Staton's longstanding method of investing allows readers to take charge of their financial future by following an approach that has proven itself time and again.
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Ashraf Laïdi "Currency Trading and Intermarket Analysis: How to Profit from the Shifting Currents in Global Markets"

Ashraf Laïdi "Currency Trading and Intermarket Analysis: How to Profit from the Shifting Currents in Global Markets"
Wiley | 2008-12-10 | ISBN: 0470226234 | 278 pages | PDF | 6,8 MB
As head FX strategist at CMC Markets–one of the world's leading forex/commodity brokers–Ashraf Laidi understands the forces shaping today's currency market and their interplay with interest rates, equities, and commodities. And now, with Currency Trading and Intermarket Analysis, he shares his extensive experiences in this field with you. Throughout the book, Laidi outlines the tools needed to understand the macroeconomic and financial nuances of this dynamic field and provides you with insights that are essential to making the most of your time within it.
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Jason A. Scharfman "Hedge Fund Operational Due Diligence: Understanding the Risks"

Jason A. Scharfman "Hedge Fund Operational Due Diligence: Understanding the Risks"
Wiley | 2008-12-03 | ISBN: 0470372346 | 320 pages | PDF | 1,6 MB
How to diagnose and monitor key hedge fund operational risks
With the various scandals taking place with hedge funds, now more than ever, both financial and operational risks must be examined. Revealing how to effectively detect and evaluate often-overlooked operational risk factors in hedge funds, such as multi-jurisdictional regulatory coordination, organizational nesting, and vaporware, Hedge Fund Operational Due Diligence includes real-world examples drawn from the author's experiences dealing with the operational risks of a global platform of over 80 hedge funds, funds
of hedge funds, private equity, and real estate managers.
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16 Dec 2008
Mark B. Fisher “The Logical Trader "

Mark B. Fisher “The Logical Trader "
Wiley | 2002-07 | ISBN: 0471215511 | 256 pages | PDF | 11 MB
Foundations of International Macroeconomics is an innovative text that offers the first integrative modern treatment of the core issues in open economy macroeconomics and finance. With its clear and accessible style, it is suitable for first-year graduate macroeconomics courses as well as graduate courses in international macroeconomics and finance. Each chapter incorporates an extensive and eclectic array of empirical evidence. For the beginning student, these examples provide motivation and aid in understanding the practical value of the economic models developed. For advanced researchers, they highlight key insights and conundrums in the field.
Topic coverage includes intertemporal consumption and investment theory, government spending and budget deficits, finance theory and asset pricing, the implications of (and problems inherent in) international capital market integration, growth, inflation and seignorage, policy credibility, real and nominal exchange rate determination, and many interesting special topics such as speculative attacks, target exchange rate zones, and parallels between immigration and capital mobility.
Most main results are derived both for the small country and world economy cases. The first seven chapters cover models of the real economy, while the final three chapters incorporate the economy's monetary side, including an innovative approach to bridging the usual chasm between real and monetary models.
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15 Dec 2008
Sheryl Garrett, Marie Swift “Just Give Me the Answer$: Expert Advisors Address Your Most Pressing Financial Questions"

Sheryl Garrett, Marie Swift “Just Give Me the Answer$: Expert Advisors Address Your Most Pressing Financial Questions"
Kaplan Business | 2004-06-01 | ISBN: 0793183391 | 352 pages | PDF | 1,25 MB
An invaluable financial resource for individuals of all ages and all life stages. If you want to take a more active role in managing your personal financial affairs, you're not alone. Millions of people are seeking ways to gain control of their finances and make better money decisions. By combining time tested wealth building principles with verified resources and professional insights, "Just Give Me the Answer$" provides practical advice for everyone.In this easy to read book, you'll find the answers to more than 130 important questions like: How can I become debt free? Am I taking advantage of all of the tax saving opportunities available? How can I create a reliable stream of income after I retire? What would be the best type of mortgage for me? How can I reduce the costs associated with my investments? Would I be better off to contribute to my company's 401(k) plan or contribute to a Roth IRA? If you are not sure of the answers to these questions, you owe it to yourself to read "Just Give Me the Answer$".
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13 Dec 2008
Anne; Laurence “History of Women as Investors"

Anne; Laurence “History of Women as Investors"
Routledge | 2008-12-04 | ISBN: 041541976X | 336 pages | PDF | 1,2 MB
The first book of its kind, it explores the activities of women as investors and as managers of wealth in Europe, the Caribbean and North America, from the early eighteenth to the mid-twentieth century.
Using case studies and empirical material, analyzed by a number of authors from a variety of academic disciplines, including accounting and finance, history, economic history and geography it draws largely on archival material which has not previously been used in a study of this kind.
Original and incisive, it is of interest to those studying economics, economic history, business history, British history and women and gender and history.
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19 Jan 2008
Moorad Choudhry "Bonds: A Concise Guide for Investors"

In this book leading expert Moorad Choudhry demystifies bonds once and for all. This guide explains, in a simple, clear fashion, the importance of bonds and why all private investors should include them as part of their portfolio. Covering, among other topics, government bonds, the yield curve, and what drives the market, in an easy, accessible style, this book is a must for anyone who wants to adopt a sound investment strategy.
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André Philipp Mundt "Dynamic risk management with Markov decision processes "

André Philipp Mundt "Dynamic risk management with Markov decision processes "
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Uwe Götze , Deryl Northcott, Peter Schuster "Investment Appraisal: Methods and Models"

Investment decisions are of vital importance to all companies. Getting these decisions right is crucial but, due to a complex and dynamic business environment, this remains a challenging management task. Effective appraisal methods are valuable tools in supporting investment decision-making. As organisations continue to seek a competitive edge, it is increasingly important that management accountants and strategic decision-makers have a sound knowledge of these tools. This book presents a range of investment appraisal methods and models, some of which are not widely known, or at least not well covered in other books. Each approach is thoroughly described, evaluated and illustrated using examples, with its assumptions and limitations analysed in terms of their implications for investment decision-making practice.
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9 Jan 2008
David Shirreff, "Dealing with Financial Risk"

Dealing With Financial Risk is a clear and colorful guide to the peaks and crevasses of financial risk management, leading readers through the theory and practice of risk-taking. In addition, it looks at some spectacular failures of risk management and the lessons that can be learned from them
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1 Jan 2008
]Jae K. Shim, Michael Constas, "Encyclopedic Dictionary of International Finance and Banking"

The Encyclopedic Dictionary of International Finance and Banking is a practical reference of proven techniques, strategies, and approaches. It covers virtually all important topics dealing with multinational business finance, money, investments, financial planning, financial economics, and banking. In addition, it explores the application of computers, quantitative techniques and models, and economics to international finance and banking. You get: o Clear definitions and explanations o Step-by-step instructions o Statistical data, Charts, exhibits, and diagrams o Checklists o Practical Applications Shim presents the most current information, offers important directives, and explains the technical procedures involved in this dynamic field. This reference gives you the tools you need to diagnose and evaluate the financial situations you face on a daily basis and answers every question you may have. It provides real-life examples and suggestions for handling everyday problems. WHAT THIS BOOK WILL DO FOR YOU More than a dictionary, more than an encyclopedia, this working guide will help you quickly pinpoint: o What to look for o How to do it o What to watch out for o How to apply it in the complex world of business o What to do You'll find ratios, formulas, examples, applications, exhibits, charts, and rules of thumb to help you analyze and evaluate any multinational financial decision. You will find this Encyclopedic Dictionary practical, comprehensive, quick, and useful. In short, this is a veritable cookbook of guidelines, illustrations, and how-tos. Encyclopedic Dictionary of International Finance and Banking is the resource you will reach for again and again.
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28 Dec 2007
Boston Institute of Finance, "The Boston Institute of Finance Mutual Fund Advisor Course: Series 6 and Series 63 Test Prep"

parallel the content of the exams. Each chapter includes review questions and provides the core knowledge necessary to pass the exams. The associated test-prep Web course provides sample test questions and tips that will help you get a better feel for the actual exams.
Filled with in-depth insight and expert guidance, you wont need anything else to pass the Series 6 and Series 63 exams. Order your copy today.
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E. R. Yescombe, " Public-Private Partnerships Principles of Policy and Finance"

Review
"This extremely useful book offers a systematic presentation of the recent trend where governments look increasingly to private sector for building and managing infrastructure facilities as well as for providing specialized services. The text covers a wide range of issues, from very general policy ones faced by authorities in considering whether to adopt the PPP route to much more technical ones, including financial analysis, procurement, financial and legal structuring. Written by an experienced practitioner, Mr. Yescombes work represents an invaluable and authoritative guide to all parties involved in PPPs- from investors, bankers, companies providing infrastructure and services to public sector authorities and the public at large as the main user of PPP facilities and/or services. The book is expected to be an excellent introduction for newcomers into the PPP business as well as a valuable reference source for all those that already have experience in the subject."
- Mojmir Mrak, Professor of International Finance, Ljubljana Faculty of Economics, University of Ljubljana, Slovenia --Mojmir Mrak, Professor of International Finance, Ljubljana Faculty of Economics, University of Ljubljana, Slovenia
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Sunanda Sen, "Global Finance at Risk On Real Stagnation and Instability"

Sunanda Sen offers an analysis of the ongoing malaise in the world economy, which include the financial and real instability as well as economic recession and lack of development. Rejecting the explanations advanced by the orthodoxy, she deplores the retrograde steps in the interest of high finance. This calls for a change in policies, away from the contractionary monetarist devices and in the direction of demand expansion which will prove mutually beneficial for both advanced and developing countries.
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Ray Fitzgerald, "Business Finance for Managers An Essential Guide to Planning, Control and Decision Making"

Business Finance for Managers: An Essential Guide to Planning, Control and Decision Making
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Labels: Business, Finance, Management