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  • The Practical Guide to Wall Street

    Equities and Derivatives

    Series series Wiley Finance
    "A hands-on introduction to what happens on the Street—if you are entering or thinking of joining the financial industry . . . this book is a must." —Nikunj Kapadia, Professor, Isenberg School of Management, University of Massachusetts AmherstWritten by an experienced trader in a clear, conversational style and assuming no previous background in finance, The Practical Guide to Wall Street provides ... Leer más

    $15.19 USD o gratis con Kobo Plus

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  • Trading and Exchanges:Market Microstructure for Practitioners

    Market Microstructure for Practitioners

    de Larry Harris ...
    Series series Financial Management Association Survey and Synthesis
    This book is about trading, the people who trade securities and contracts, the marketplaces where they trade, and the rules that govern it. Readers will learn about investors, brokers, dealers, arbitrageurs, retail traders, day traders, rogue traders, and gamblers; exchanges, boards of trade, dealer networks, ECNs (electronic communications networks), crossing markets, and pink sheets. Also ... Leer más

    $140.39 USD

  • Asset Allocation 5E (PB)

    Balancing Financial Risk, Fifth Edition

    The Definitive Guide to Strategic Asset AllocationUniting theory and practice--the art and science of asset allocationInvestors long to beat the market, and money managers accept that as their mandate. The sad reality is that most money managers underperform the market, and individual investors do even worse. Investors also face emotional challenges. The irrational exuberance of the 1990s, for ... Leer más

    $52.99 USD

  • Getting Started in Security Analysis

    Series Libro 80 - Getting Started In...
    An updated look at security analysis and how to use it during tough financial timesDue to the current economic climate, individual investors are starting to take much more time and effort to really understand their investments. They've been investing on their own in record numbers, but many have no idea how to handle the current financial crisis. This accessible guide shows you how to take control ... Leer más

    $12.00 USD

  • Forbes Guide to the Markets

    Becoming a Savvy Investor

    From the leader in financial information, a fully updated guide to investing in today's marketsThis accessible book is a practical guide to the financial markets. Designed to help both the new and experienced investor gain sufficient understanding and knowledge to invest wisely and confidently in today's turbulent markets, it covers all the elements necessary to become financially street smart ... Leer más

    $14.00 USD

  • The CME Group Risk Management Handbook

    Products and Applications

    Series Libro 410 - Wiley Finance
    Invaluable insights on trading today's futures marketThe CME Risk Management Handbook provides an accessible overview of the futures market in today's electronic world of trading. Page by page, it outlines the various CME products currently available and explains how those products can be used to manage risk. Financial professionals around the world will find this book to be a comprehensive ... Leer más

    $57.00 USD

  • Structured Finance and Insurance

    The ART of Managing Capital and Risk

    Series Libro 339 - Wiley Finance
    Praise for Structured Finance & Insurance"More and more each year, the modern corporation must decide what risks to keep and what risks to shed to remain competitive and to maximize its value for the capital employed. Culp explains the theory and practice of risk transfer through either balance sheet mechanism such as structured finance, derivative transactions, or insurance. Equity is expensive ... Leer más

    $72.00 USD

  • Alternative Investment Strategies and Risk Management

    Improve Your Investment Portfolio’S Risk–Reward Ratio

    In this environment, its more important than ever to get familiar with risk management principles and seek out alternative investment strategies carefully to maintain and grow your capital. Written by Raghurami Reddy Etukuru, MBA, CAIA, FRM, PRM, this guidebook introduces you to various alternative investments and risk management concepts in straightforward language. For instance, hedge funds are ... Leer más

    $3.99 USD

  • Practical Portfolio Performance Measurement and Attribution

    de Carl R. Bacon ...
    Series Libro 568 - The Wiley Finance Series
    Performance measurement and attribution are key tools in informing investment decisions and strategies. Performance measurement is the quality control of the investment decision process, enabling money managers to calculate return, understand the behaviour of a portfolio of assets, communicate with clients and determine how performance can be improved.Focusing on the practical use and calculation ... Leer más

    $108.00 USD

  • The Valuation of Financial Companies

    Tools and Techniques to Measure the Value of Banks, Insurance Companies and Other Financial Institutions

    Series series The Wiley Finance Series
    This book presents the main valuation approaches that can be used to value financial institutions. By sketching 1) the different business models of banks (both commercial and investment banks) and insurance companies (life, property and casualty and reinsurance); 2) the structure and peculiarities of financial institutions’ reporting and financial statements; and 3) the main features of regulatory ... Leer más

    $85.00 USD

  • Interest Rate Markets

    A Practical Approach to Fixed Income

    Series Libro 501 - Wiley Trading
    How to build a framework for forecasting interest rate market movementsWith trillions of dollars worth of trades conducted every year in everything from U.S. Treasury bonds to mortgage-backed securities, the U.S. interest rate market is one of the largest fixed income markets in the world.Interest Rate Markets: A Practical Approach to Fixed Income details the typical quantitative tools used to ... Leer más

    $56.00 USD

  • Asset Allocation, 4th Ed

    The definitive guidebook for successful long-term investingThe third edition of Roger C. Gibson's Asset Allocation: Balancing Financial Risk was released in 2000 on the heels of the biggest bull market in a century and amidst talk of a new economy. The bear market that followed was the worst since 1973-1974 and resulted in the destruction of roughly half of the stock market's value. Through it all ... Leer más

    $42.99 USD