Showing 51-61 of 61 items.
Paul Wilmott – Quantitative Finance vol 1-3 2nd Ed
Paul Wilmott – Quantitative Finance vol 1-3 2nd Ed Paul Wilmott on Quantitative Finance, Second Edition provides a thoroughly updated look at derivatives and financial engineering, published in three volumes with additional CD–ROM. Volume 1: Mathematical and...
By Chr... on May 5, 2020
Glenn Shafer – Probability And Finance
Glenn Shafer - Probability and FinanceProvides a foundation for probability based on game theory rather than measure theory.A strong philosophical approach with practical applications.Presents in-depth coverage of classical probability theory as well as new theory.Review"Shafer...and Vovk...explain...
By Han... on May 17, 2019
John A.Tracy – The Fast Forward MBA In Finance (2nd Ed.)
John A.Tracy - The Fast Forward MBA in Finance (2nd Ed.) Description The author is well-renowned and highly successful. Figures and examples are revised and spreadsheet ready templates are provided. Offers quick tips and cutting-edge ideas....
By All... on Apr 16, 2019
Burton S.Kaliski – Ecyclopedia of Business & Finance (Vol. I & II)
Burton S.Kaliski - Ecyclopedia of Business & Finance (Vol. I & II)Designed for the nonspecialist, the "Encyclopedia of Business and Finance" is a 2-vol. complete reference covering five general areas: finance and banking; accounting; marketing; management;...
By Law... on Mar 30, 2019
George M. Constantinides – The Handbook of Economics of Finance (Vol. 1B)
George M. Constantinides – The Handbook Of Economics Of Finance (Vol. 1B) Volume 1B covers the economics of financial markets: the saving and investment decisions; the valuation of equities, derivatives, and fixed income securities; and market...
By Rog... on Mar 4, 2022
Michel Fleuriet – Finance a Fine Art
The financial markets play a crucial role in contemporary society. They can change the lives of whole communities for better or worse and form an essential part of the overall economy. Yet their intermediaries are frequently...
By Nan... on Dec 20, 2018
Alexander Melnikov – Risk Analysis in Finance & Insurance
Review… a useful addition to a rapidly expanding field. – Journal of the Royal Statistical SocietyHere is a comprehensive and accessible introduction to the ideas, methods and probabilistic models that have transformed risk management into a...
By Dav... on Dec 14, 2018
Chris Brooks – Introductory Econometrics for Finance (2nd Ed.)
Publisher: Cambridge University Press; 2 edition (22 May 2008) Language: English ISBN-10: 052169468X ISBN-13:978-0521694681This best-selling textbook addresses the need for an introduction to econometrics specifically written for finance students. Key features:• Thoroughly revised and updated, including...
By Kei... on Dec 11, 2018
Robert Kast – Economics and Finance of Risk and of the Future
This book uses real-world examples to show how individual and collective risks can be blended and treated in a reliable decision-making framework that draws its inspiration from decision theory and market based mechanisms. It then goes...
By Sae... on Dec 10, 2018
Paul Wilmott – The Best of Wilmott vol 1-2
The Best of Wilmott 1Incorporating the Quantitative Finance ReviewNovember 11th 2003 saw a landmark event take place in London. As the first conference designed for quants by quants the Quantitative Finance Review 2003, moved away from...
By Jer... on Dec 10, 2018
Jocelyn Pixley – Emotions in Finance Distrust and Uncertainty in Global Markets
Fear and greed are terms that make light of the uncertainty in the finance world. Huge global financial institutions rely on emotional relations of trust and distrust to suppress the uncertainties. Many financial firms develop policies...
By Jos... on Dec 9, 2018