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  1. Loose-leaf for Principles of Corporate Finance
    Higher Division Loose-leaf for Principles of Corporate Finance 14th Edition By Richard A. Brealey, Stewart C. Myers, Franklin Allen, Alex Edmans © 2023 | Published: April 25, 2022
    US$183.79
    Principles of Corporate Finance describes the theory and practice of corporate finance. Financial managers are shown how to use financial theory to solve practical problems.- Demonstrates how managers use financial theory to solve practical problems.- New co-author for 14e: Alex Edmans, Professor of…

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  2. The Complete Guide to Option Selling: How Selling Options Can Lead to Stellar Returns in Bull and Bear Markets, 3rd Edition
    Higher Division The Complete Guide to Option Selling: How Selling Options Can Lead to Stellar Returns in Bull and Bear Markets, 3rd Edition 3rd Edition By James Cordier, Michael Gross © 2015 | Published: September 22, 2014
    The Go-To Option-Selling Guide--Updated for Today's Manic Markets Investing today is more complicated and unpredictable than ever before. The strategy of buy-and-hold has been replaced by buy-and-hope. Trying to grow your assets means worrying about how the next geopolitical crisis or government an…

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  3. Buffett's Bites: The Essential Investor's Guide to Warren Buffett's Shareholder Letters
    Higher Division Buffett's Bites: The Essential Investor's Guide to Warren Buffett's Shareholder Letters 1st Edition By L.J. Rittenhouse © 2014 | Published: November 22, 2013
    INVESTING PRINCIPLES FROM THE MASTER Ignore Sound Bites That Rattle Markets Treat Market Pessimism as Your Friend Do the Little Things Right Protect Your Capital When the Facts Turn Upside Down Rely on CEOs Who Nurture Healthy Corporate Cultures Remember That Large, Unfathomable Derivatives Are Stil…

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  4. Market Mind Games: A Radical Psychology of Investing, Trading and Risk
    Higher Division Market Mind Games: A Radical Psychology of Investing, Trading and Risk 1st Edition By Denise Shull © 2012 | Published: December 15, 2011
    Seize the advantage in every risk decision with the most misunderstood asset you have—human emotionWhat if the mystery of market crashes stems from a simple but total misunderstanding of our own minds? Could everything we think we know about ourselves—intelligence and rationality versus emotion …

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  5. The Bond Book, Third Edition: Everything Investors Need to Know About Treasuries, Municipals, GNMAs, Corporates, Zeros, Bond Funds, Money Market Funds, and More
    Higher Division The Bond Book, Third Edition: Everything Investors Need to Know About Treasuries, Municipals, GNMAs, Corporates, Zeros, Bond Funds, Money Market Funds, and More 3rd Edition By Annette Thau © 2010 | Published: October 27, 2010
    Everything on Treasuries, munis, bond funds, and more! The bond buyer’s answer book—updated for the new economy “As in the first two editions, this third edition of The Bond Book continues to be the ideal reference for the individual investor. It has all the necessary details, well explained …

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  6. All About Dividend Investing, Second Edition
    Higher Division All About Dividend Investing, Second Edition 2nd Edition By Don Schreiber, Gary E. Stroik © 2011 | Published: October 13, 2010
    The safe, profitable alternative to a losing bet While many of us were learning the hard way that a buy-and-hope strategy is bound to fail, Don Schreiber, Jr., and Gary E. Stroik were busy updating All About Dividend Investing--the proven answer to a highly flawed, totally outdated, but all-too-com…

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  7. What Is Corporate Governance?
    Higher Division What Is Corporate Governance? 1st Edition By John L. Colley, Wallace Stettinius, Jacqueline L. Doyle, George Logan © 2005 | Published: December 6, 2004
  8. Bond Portfolio Investing and Risk Management
    Higher Division Bond Portfolio Investing and Risk Management 1st Edition By Vineer Bhansali © 2010 | Published: August 19, 2010
    "Excess returns or yields do not come without risk. Bond Portfolio Investing and Risk Management delves comprehensively, but intuitively, into the various risk factors and delivers the tools to understand, measure, control, and take advantage of risk premiums in practical fixed income investing. As …

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  9. Portfolio Performance Measurement and Benchmarking
    Higher Division Portfolio Performance Measurement and Benchmarking 1st Edition By Jon A. Christopherson, David R. Carino, Wayne E. Ferson © 2009 | Published: May 15, 2009
    In order to make sound investment choices, investors must know the projected return on investment in relation to the risk of not being paid. Benchmarks are excellent evaluators, but the failure to choose the right investing performance benchmark often leads to bad decisions or inaction, which inevit…

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