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A bond calculation quick reference, complete with context and application insights Bond Math is a quick and easy resource that puts the intricacies of bond calculations into a clear and logical order. This simple, readable guide provides a handy reference, teaching the reader how to think about the essentials of bond math.
Real Estate Investment Trusts (REITs) provides some of the best total returns in the investment world. This book covers: a comprehensive history of the REIT industry; how REITs compare with other competitive investments; how to spot blue-chip REITs and control investment risk; and how to value individual REIT stocks, and REIT shares generally.
This revised and updated edition of the bestselling work on hedge funds deals with the changes the market has experienced recently. Burton has updated each chapter with a discussion of how the funds were affected by the economic downturn.
Fibonacci analysis--named after the thirteenth-century Italian mathematician--is an extremely effective tool for understanding market movement. Nevertheless, Fibonacci analysis can be difficult to understand, preventing most traders from taking full advantage of this valuable technique. Fibonacci Analysis gives traders a concise and clear explanation of what this tool is, how it works, and how to apply it in today's markets. Constance Brown covers a wide range of topics including Fibonacci analysis in cycles of expansion and contraction, Fibonacci ratios for price projection, and applications for time analysis. Brown offers practical guidance on such specific tools as rhythmic wave diagrams, support and resistance, proportional analysis, and use with oscillators. Fibonacci Analysis is eminently practical, showing the most effective use of a technique that can increase the probability of trading success.
The credit crunch is affecting every investor and every consumer, every industry and every government program, yet few people truly understand how it happened. Subprime mortgages have been center stage, but behind the scenes a conspiracy of greed among bankers, investors, rating agencies and regulators has imperiled everyone′s financial future. We need to know what went wrong and how to change the practices that led to this calamity. Bloomberg columnist Mark Gilbert shows how Wall Street′s tolerance for extremes made the global credit crunch both foreseeable and inevitable. He offers a blow–by–blow account of what went wrong and what lessons need to be learned from the crisis. Gilbert′s argument—that everyone with skin in the money game had a vested interest in pretending that nothing could go awry—is a well–defended, compelling indictment of the financial community. Gilbert is able to make complex financial events easy to understand. His outlook is truly global: this financial crisis respects no geographical boundaries, and Gilbert draws on anecdotes and examples from around the world to make his case.
How to understand the twenty-first century food crisis Since 2007, farm-product prices have rocketed and plunged, causing hunger, malnutrition, and social and political upheaval around the world.
The Methodical Compendium of Concentrated Portfolio Options Managing Concentrated Stock Wealth, Second Edition is the adviser's guide to skillfully managing the risk and opportunity presented by concentrated stock holdings.
A Must-Read for Any Investor Looking to Maximize Their Chances of Success Big Mistakes: The Best Investors and Their Worst Investments explores the ways in which the biggest names have failed, and reveals the lessons learned that shaped more successful strategies going forward.
A clear and practical guide to using binary options to speculate, hedge, and trade Trading Binary Options is a strategic primer on effectively navigating this fast-growing segment.
What is the only thing a company has that its competitors do not have? What can a company invest in that its competitors cannot replicate? Information. It s the new competitive edge.
The practical guide to direct investing strategies and best practices The Complete Direct Investing Handbook provides comprehensive guidelines, principles and practical perspectives on this increasingly attractive private equity investment strategy.
A glimpse of the savvy that built a global corporation from scratch Hess: The Last Oil Baron profiles a titan of the oil industry, mapping the journey of the quintessential American dream. The story of Leon Hess follows an immigrant kosher butcher's son as he builds an oil dynasty that may never be matched.
Go inside the trend that spawned a multi-billion dollar industry for the top five percent Sweat Equity goes inside the multibillion dollar trend toward endurance sports and fitness to discover who's driving it, who's paying for it, and who's profiting.
"In the short run, the market is a voting machine, but in the long run it is a weighing machine." --Benjamin Graham, The Intelligent Investor From the player who fiddles with his chips when he's bluffing to another who whistles when she has a good hand, the game of poker is full of "tells"--and so are the financial markets. In Market Indicators, Richard Sipley unveils the signals that can help observant investors better their odds of success in the financial markets. Sipley, a senior portfolio manager at Boston Private Bank & Trust Company, uses clear prose, charts, and resource lists to explain how individual investors can find, understand, and employ the market information of greatest interest to professional traders. Deriving clues from sources that include the options market, institutional traders, insiders, the financial press, relative value models, the bond markets, and the mysterious world of futures trading, Sipley initiates readers into time-tested methods that can reveal what other traders are doing and suggests ways to take advantage of that information. Market Indicators will dramatically improve understanding of the financial markets, for both new investors as well as experts seasoned in managing a portfolio.
Building on the success of "New Thinking in Technical Analysis," this book brings together market masters in the field of technical analysis from the United States, Japan, South Africa, England, and other countries.
Stohr's compelling narrative unveils the drama behind the controversial affirmative action lawsuits and sheds new light during the election season on the White House's role in the Supreme Court's decision.
"Analysis and commentary on economics, the Federal Reserve, monetary policy, the bond markets, and politics, selected from among 1,300 columns written by Caroline Baum since 1998 for Bloomberg News, the electronic business and financial news service." Economic conditions, Finance, and Economics.
In PIPE (Private Investments in Public Equity) transactions, public companies issue stock and bonds directly, and often discreetly, to large institutional investors, rather than raising capital in the stock and bond markets. "PIPEs" details how these deals are done, for what reasons, and with what caveats.
Hedge funds are in the news and on the minds of sophisticated investors more than ever. Investors have questions about how the funds are structured, where the assets are allocated, and whether hedge funds can truly act as a hedge against market risk. The answers are all here in "Investing in Hedge Funds."Until recently, much of what makes hedge funds tick has been closely guarded--the intellectual property of Wall Street's investment elite. In this updated and revised text, Joseph G. Nicholas, founder and chairman of the leading industry information provider Hedge Fund Research, Inc., travels inside the hedge fund marketplace to explain the alternative investment strategies of top fund managers, providing clear descriptions of how to access these funds and where they're headed. It's a complete guide that everyone investing in hedge funds should study closely.
The Handbook for Muni-Bond Issuers provides professionals with succinct guidance on what issuers need to know before beginning the issuance process - choosing a method of sale, getting the right financial advice, disclosure and legal guidelines, and lowering the cost of financing. It includes a detailed discussion of what happens prior to a sale through what to expect after the close. Author Joe Mysak takes issuers through the process, step-by-step, with smart answers and pragmatic strategies for success in today's muni-bond market. This book provides an insider's perspective on choosing a method of sale, finding the right financial advisers, what to expect from regulators, and earning a high credit rating.
The practical, visual guide to the complex world of options investing loaded with tactics and tips for market success Options provide a diverse, strategic, advantaged approach to trading that can significantly limit the overall risks of a trade or yield additional returns.
What do you pay for when you hire a portfolio manager? Is it his or her unique experience and expertise, a set of specialized analytical skills possessed by only a few? This title deals with these questions.
An accessible guide to handling the unforeseeable consequences of becoming an entrepreneur in today and tomorrow's economy The spirit of an entrepreneur is often characterized as one of unbridled passion and a sense of fearlessness.
A completely updated edition of the guide to modern bond analysis First published in 1972, Inside the Yield Book revolutionized the fixed-income industry and forever altered the way investors looked at bonds. Over forty years later, it remains a standard primer and reference among market professionals.
Brings global macro trading down to earth for individual and professional traders, investors and asset managers In a world that is increasingly interconnected, geopolitically, culturally and economically, global is the new normal in the financial markets.
Analyze key indicators more accurately to make smarter market moves The Economic Indicator Handbook helps investors more easily evaluate economic trends, to better inform investment decision making and other key strategic financial planning.
A practical, informative guide to derivatives in the real world Derivatives is an exposition on investments, guiding you from the basic concepts, strategies, and fundamentals to a more detailed understanding of the advanced strategies and models.
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