Barron s Finance and Investment Handbook

Barron s Finance and Investment Handbook
Author: John Downes,Jordan Elliot Goodman
Publsiher: Barron's Educational Series
Total Pages: 1016
Release: 1986
Genre: Business & Economics
ISBN: UCR:31210006600371

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Includes "listings with addresses of NYSE, AMEX and NASDAQ (NMS) stocks, directories of mutual funds, investment newsletters and financial institutions ... reflects latest federal tax laws."

Python for Finance

Python for Finance
Author: Yves Hilpisch
Publsiher: "O'Reilly Media, Inc."
Total Pages: 720
Release: 2018-12-05
Genre: Computers
ISBN: 9781492024293

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The financial industry has recently adopted Python at a tremendous rate, with some of the largest investment banks and hedge funds using it to build core trading and risk management systems. Updated for Python 3, the second edition of this hands-on book helps you get started with the language, guiding developers and quantitative analysts through Python libraries and tools for building financial applications and interactive financial analytics. Using practical examples throughout the book, author Yves Hilpisch also shows you how to develop a full-fledged framework for Monte Carlo simulation-based derivatives and risk analytics, based on a large, realistic case study. Much of the book uses interactive IPython Notebooks.

The Long and the Short of It International edition

The Long and the Short of It  International edition
Author: John Kay
Publsiher: Profile Books
Total Pages: 166
Release: 2016-12-01
Genre: Business & Economics
ISBN: 9781782832690

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The follies of finance have threatened the stability of the global economy, and the world of finance has become increasingly complex and sophisticated, but also greedy, cynical and self-interested. The Long and the Short of It provides a guide to the complexities of modern finance and explains how to put your finances in the only hands you can confidently trust - your own. In this new, wholly updated edition of The Long and the Short of It, you will learn everything you need to be your own investment manager. You will recognise your investment options, the institutions that try to sell them, and how to distinguish between fact and fiction in what companies say. You will discover the principles of sound investment and the research that supports these principles. Crucially, you will learn a practical investment strategy and how to implement it. Leading economist and hugely successful investor John Kay uses his academic credentials and practical experience to lay out the key principles of investment with characteristic clarity and dry humour. This is the only book about finance and investment anyone needs, and the one book they must have.

Real Estate Finance and Investments

Real Estate Finance and Investments
Author: Peter Linneman
Publsiher: Unknown
Total Pages: 498
Release: 2013
Genre: Real estate business
ISBN: 0615825672

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Introduction To Finance Financial Management And Investment Management

Introduction To Finance  Financial Management And Investment Management
Author: Pamela Peterson Drake,Frank J Fabozzi,Francesco A Fabozzi
Publsiher: World Scientific
Total Pages: 829
Release: 2021-12-20
Genre: Business & Economics
ISBN: 9789811241291

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This book covers the fundamentals of financial management and investment management without getting into the highly technical topics and mathematical rigor. It also provides a practitioner-oriented approach to financial and investment management.The field of finance covers several specialty areas. The two most important ones which set the foundations for the other specialty areas are financial management and investment management, and these are the two major topics covered in the book. After touching on the basics — the financial system and the players, financial statements, and mathematics of finance — the authors then cover financial management and investment management in greater depth. For financial management the authors focus on financial strategy and financial planning, dividend policy, corporate financing decisions, entrepreneurial finance, financial risk management, and capital budgeting decisions. The investment management coverage includes the different types of risks faced in investing, company analysis, valuing common stock, portfolio selection, asset pricing theory, and investing in common stocks and bonds. The last chapter of the book covers financial derivatives and how they are used in finance to control risk.

Corporate Finance

Corporate Finance
Author: Jesse McDougall,Patrick Boyle
Publsiher: Createspace Independent Publishing Platform
Total Pages: 310
Release: 2017-12-10
Genre: Electronic Book
ISBN: 1530116597

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Must-read book for those starting a career in Investment Banking and Asset Management. Written for professionals by finance professionals. This book gives a thorough grounding in Corporate Finance principles as they apply to current valuation methods, including comparable companies, precedent transactions, DCF, and LBO analysis, as well as M&A accretion/dilution analysis. The book was written by the authors for use as a core text in Master's in Finance courses at University of London, England. Jesse McDougall and Patrick Boyle have worked in Finance since the late 1990's at international Investment Banks and Hedge Funds. Jesse McDougall has worked in Corporate Finance Advisory for a major Canadian Investment Bank, and in Merger Arbitrage for a Barclays' Investment Banking arm. The text is intended to provide readers with insider knowledge of M&A advisory, IBD, merger arbitrage, and other investment strategies.

Personal Finance and Investments

Personal Finance and Investments
Author: Keith Redhead
Publsiher: Routledge
Total Pages: 1294
Release: 2008-09-15
Genre: Business & Economics
ISBN: 9781134088379

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In this book, the author draws from finance, psychology, economics, and other disciplines in business and the social sciences, recognising that personal finance and investments are subjects of study in their own right rather than merely branches of another discipline. Considerable attention is given to topics which are either ignored or given very little attention in other texts. These include: the psychology of investment decision-making stock market bubbles and crashes property investment the use of derivatives in investment management regulation of investments business. More traditional subject areas are also thoroughly covered, including: investment analysis portfolio management capital market theory market efficiency international investing bond markets institutional investments option pricing macroeconomics the interpretation of company accounts. Packed with over one hundred exercises, examples and exhibits and a helpful glossary of key terms, this book helps readers grasp the relevant principles of money management. It avoids non-essential mathematics and provides a novel new approach to the study of personal finance and investments. This book will be essential for students and researchers engaged with personal finance, investments, behavioural finance, financial derivatives and financial economics. This book also comes with a supporting website that includes two updated chapters, a new article featuring a behavioural model of the dot com, further exercises, a full glossary and a regularly updated blog from the author.

Chains of Finance

Chains of Finance
Author: Diane-Laure Arjaliès,Philip Grant,Iain Hardie,Donald MacKenzie,Ekaterina Svetlova
Publsiher: Oxford University Press
Total Pages: 206
Release: 2017
Genre: Business & Economics
ISBN: 9780198802945

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Investment management and the investment chain -- Chains of freedom: the investment chain inside the investment management firm -- Fund managers and their investors -- Quantitative asset managers and their chains -- Entangled trading: fund managers and dark pools -- Bringing society back into the investment chain responsible investing during the financial crisis -- Trapped in resistance: collective struggles through the investment chain -- Conclusion -- Appendix A: a brief roster of intermediaries