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Books > Business & Economics > Finance & accounting > Finance > Corporate finance

Financial Dimensions of Marketing Decisions (Hardcover, 1st ed. 2019): David W. Stewart Financial Dimensions of Marketing Decisions (Hardcover, 1st ed. 2019)
David W. Stewart
R4,234 Discovery Miles 42 340 Ships in 12 - 19 working days

This book is about linking marketing activities and outcomes to the financial performance of the organization. The theme of the book is that the marketing function must justify its activities and use of resources in terms of its financial contributions to the firm. More specifically, the book focuses on how marketing activities generate cash flow, growth, and other financial benefits for the organization. This perspective provides a framework for long-term investments for purposes of evaluating and ranking the funding of proposed projects.

Modern Indices for International Economic Diplomacy (Hardcover, 1st ed. 2022): Vincent Charles, Ali Emrouznejad Modern Indices for International Economic Diplomacy (Hardcover, 1st ed. 2022)
Vincent Charles, Ali Emrouznejad
R4,240 Discovery Miles 42 400 Ships in 12 - 19 working days

Composite indices are used by national and international organisations, as well as governments and corporations, to track various performance aspects of a country's economy and its people, evaluate progress, and engage constructively in policy dialogue; and they have long proven useful as communication tools and inputs into decision-making and policymaking. Modern Indices for International Economic Diplomacy compiles a spectrum of relevant indices for development and well-being used in benchmarking across nations, namely the OECD Better Life Index, the Gini Index, the Gender Equality/Inequality Index, the International Energy Security Risk Index, the Big Mac Index, the Country Risk Index, the Corruption Perceptions Index, and the Global Terrorism Index. The book will be relevant to practitioners, policymakers, researchers, and students interested in the topic of international economic relationships.

Professional Authority After the Global Financial Crisis - Defending Mammon in Anglo-America (Hardcover, 1st ed. 2017): Malcolm... Professional Authority After the Global Financial Crisis - Defending Mammon in Anglo-America (Hardcover, 1st ed. 2017)
Malcolm Campbell-Verduyn
R2,590 Discovery Miles 25 900 Ships in 12 - 19 working days

This book challenges amoral views of finance as the leading realm in which mammon - wealth and profit - is pursued with little overt regard for morality. The author details an enhanced ethical emphasis by leading Anglo-American professionals in the aftermath of the 2007-8 global financial crisis. Instead of merely stressing expert knowledge, professionals sought to overcome the alleged impossibility of serving "two masters" - mammon and God - by embracing religious finance, socio-economic inequality, sustainability and other overtly moral issues. Continuities in liberal values and ideas, however, limited the impact of this enhanced ethical emphasis to restoring the professional authority, as well as to more fundamentally reforming of Anglo-American finance following the most severe period of instability since the Great Depression. Providing a nuanced account of post-crisis change and continuity in a crucially important industry, Campbell-Verduyn advances a dynamic, process-based understanding of authority that will appeal to international political economists and sociologists alike.

Bridging the Equity Gap for Innovative SMEs (Hardcover, New): E. Gualandri, V. Venturelli Bridging the Equity Gap for Innovative SMEs (Hardcover, New)
E. Gualandri, V. Venturelli
R2,864 Discovery Miles 28 640 Ships in 10 - 15 working days

This book explores the idea that Europe's growth problems may be caused by weaknesses in capital markets and in the access to risk capital. It addresses the evaluation of the financial needs and constraints of start-up firms and how these might be bridged. The role of public sector intervention is analyzed, focusing on international best practices.

Understanding the Polish Capital Market - From Emerging to Developed (Hardcover): Marek Dietl, Dariusz Zarzecki Understanding the Polish Capital Market - From Emerging to Developed (Hardcover)
Marek Dietl, Dariusz Zarzecki
R4,049 Discovery Miles 40 490 Ships in 12 - 19 working days

The first stock exchange in Warsaw - capital city of the Kingdom of Poland- was established in 1817. Over the past 205 years, the fortunes of the capital market have been closely linked to the "bumpy road" of Polish history. The establishment of the GPW Warsaw Stock Exchange in 1991 was a landmark for transformation from a centrally planned communist economy to a market-driven capitalist one. Since the doors of the exchange reopened, Polish GDP per capita (current USD) increased eight times, translating into an average yearly growth rate of over 7%. The capital market has played a pivotal role in the economic success of Poland over the last three decades. It is not easy to precisely quantify the impact, as it was rather a spill-over effect. Economic growth has fostered the development of a capital market, and more efficient conversion of savings to investments via the capital market. The excellence of capital market institutions can be gauged with reference to various parameters. A synthetic measure is so-called market status. According to FTSE Russell (global index provider), Polish capital attained developed market status in 2018, being the first and only post-communist state to do so. It is fair to say that transformation has been completed and developed market status indicates clearly that the institutions and regulations are world class. The current challenge is competing with other developed markets for the best issuers and offering the most demanding investors an excellent trading experience. This book offers scientific insight into the Polish capital market story. Authored by a group of renowned scholars, with contributions aspiring to the highest academic standards for theoretical considerations and empirical research. The book covers various topics, including links between monetary policy and capital markets, micro and macro market structures, and investors and issuers' behaviour and strategies. All chapters are rooted in contemporary finance theory, supported by various econometric models based on the most recently available data. The book aims to provide academics and practitioners insight into the Polish capital market, appealing especially to those interested in gaining a deeper understanding of emerging markets' successful transformation into developed ones. It can also be used as supplementary reading for doctoral and master's students in finance, particularly relating to capital markets and economics - predominantly development economics and economic policy.

Stock Markets And Corporate Finance: A Primer (Hardcover): Michael Joseph Dempsey Stock Markets And Corporate Finance: A Primer (Hardcover)
Michael Joseph Dempsey
R3,087 Discovery Miles 30 870 Ships in 10 - 15 working days

Stock Markets and Corporate Finance: A Primer examines the nature of the stock market and its implications for corporate management. In the historical context of financial institutions and business finance, students are stimulated to learn that traditional totems of corporate finance can no longer be presented as dogma, but rather as exceedingly frail models of reality. At the core of this text is the philosophy that financial institutions and corporate/business finance are more satisfactorily understood in relation to one another.This revised text from the 2017 Stock Markets and Corporate Finance has allowed for a reshaping of the material with the deletion of a number of chapters considered 'interesting' but overly academic. This additional space has allowed for an update on the chapter 'Financial Institutions and a History of Stock Markets' as well as accounting for the circumstances of a post-COVID-19 era. The chapter 'Financial Planning and Working Capital' has been reworked to demonstrate how a firm's financial management team might interrogate its financial accounts to assess the viability of the firm and the management of its working capital.From reading this book, the reader will achieve insight into the behaviour and importance of financial institutions and firms as they are presented in the media, and how they impact on their own lives. Exercises and solutions are designed to re-enforce chapter material, while animated PowerPoint presentations are available as supplementary material to the book.

The Economics and Finance of Professional Team Sports (Hardcover): Daniel Plumley, Rob Wilson The Economics and Finance of Professional Team Sports (Hardcover)
Daniel Plumley, Rob Wilson
R4,023 Discovery Miles 40 230 Ships in 12 - 19 working days

The most up-to-date and in-depth book on the business of professional team sports Pro team sports are the biggest and most important sector of international sport business Strong focus on applied analysis and performance measurement, invaluable real-world skills Covers sports, teams and leagues all over the world from the EPL to the NFL Addresses key themes from ownership and competitive balance to media revenue and the role of agents

Financial Failures and Scandals - From Enron to Carillion (Paperback): Krish Bhaskar, John Flower Financial Failures and Scandals - From Enron to Carillion (Paperback)
Krish Bhaskar, John Flower
R670 Discovery Miles 6 700 Ships in 12 - 19 working days

This concise volume evaluates the cause and significance of recent corporate failures and financial scandals, and how they reflect on the fitness for purpose of the external auditors, financial reports, financial watchdogs, boards, directors and senior management. Failures like the disastrous collapse of Carillion, examined at length, have ultimately led to a crisis of confidence not only in the audit process but in the entire process of financial reporting. Revealing the shortcomings in audit quality, independence, choice and the growing expectation gap, Financial Failures and Scandals questions if the profession, its regulators or government watchdogs, are adequately prepared for the challenges of increasing regulation, public outcry and political scrutiny in the face of inevitable future financial failures. The fundamental structures of financial reporting, annual reports, boards of directors and senior management are often found to have failed. Tighter regulation and new requirements for reporting will inevitably result. Drawing on extensive research and interviews with insiders, users and experts, this unique book provides a compelling account of the profoundly disruptive impact of financial failures on corporate and financial accountability. Topical and readable, this book will be of great interest to students, researchers and professionals in accounting and auditing, as well as to policy makers and regulators.

Automotive FDI in Emerging Europe - Shifting Locales in the Motor Vehicle Industry (Hardcover, 1st ed. 2017): A. J. Jacobs Automotive FDI in Emerging Europe - Shifting Locales in the Motor Vehicle Industry (Hardcover, 1st ed. 2017)
A. J. Jacobs
R4,302 Discovery Miles 43 020 Ships in 12 - 19 working days

This book examines the dramatic increase in automotive assembly plants in the former Socialist Central European (CE) nations of Czechia, East Germany, Hungary, Poland, and Slovakia from 1989 onwards. Enticed by relatively lower-wage labour and significant government incentives, the world's largest automakers have launched more than 20 passenger car assembly complexes in CE nations, with production accelerating dramatically since 2001. As a result, the annual passenger car production in Western Europe declined by more than 20% between 2001 and 2015, and alternatively in the CEE it increased by nearly 170% during this period. Drawing on case studies of 25 current and former foreign-run assembly plants, the author presents a rare historical account of automotive foreign assembly plants in the CE following this dramatic geographic shift. This book will expand the knowledge of policy-makers in Europe in relation to their pursuits of FDI and will be of great interest to scholars and students of business, economic history, political science, and development.

Bad Blood - Secrets and Lies in a Silicon Valley Startup (Paperback): John Carreyrou Bad Blood - Secrets and Lies in a Silicon Valley Startup (Paperback)
John Carreyrou 1
R230 Discovery Miles 2 300 Ships in 12 - 19 working days
Sustainability, Technology, and Finance - Rethinking How Markets Integrate ESG (Hardcover): Herman Bril, Georg Kell, Andreas... Sustainability, Technology, and Finance - Rethinking How Markets Integrate ESG (Hardcover)
Herman Bril, Georg Kell, Andreas Rasche
R4,047 Discovery Miles 40 470 Ships in 12 - 19 working days

This book is the first to combine the views of scholars with those of practitioners (mostly CEOs and C-level executives) on the topic of sustainability, technology and finance. Includes the top thought leaders from the worlds of practice and research. Readers will gain insights into how technology and digitalization can fundamentally reshape the way ESG is practiced.

Private Equity and Venture Capital - Theory, Evolution and Valuation (Hardcover, 1st ed. 2022): Serena Gallo, Vincenzo Verdoliva Private Equity and Venture Capital - Theory, Evolution and Valuation (Hardcover, 1st ed. 2022)
Serena Gallo, Vincenzo Verdoliva
R3,880 Discovery Miles 38 800 Ships in 12 - 19 working days

The terms venture capital and private equity may differ across countries. This book discusses venture capital not only as risk capital toward unlisted companies with the aim to enhance the investee firm, but also analyses broader forms of entrepreneurial investment: from early stage financing to buyout and turnaround transaction. This book is divided into four sections. The first section aims to shed light on the terminology and offers a comparison between private equity/venture capital, and the traditional banking sector as financing sources. The second section details the differences between private equity and venture capital transactions on the basis of firm life cycle, and summarizes the main characteristics of both private equity and venture capital investors and investee firms. The third section illustrates the evolution of the private equity and venture capital industry before and after the financial crisis by looking at three fundamental aspects: fundraising, investment and divestment, all in terms of volume and trends. The last section discusses the basic elements of corporate valuation applied to private equity and venture capital industry, with some practical examples.

Handbook of Research on Venture Capital: Volume 2 - A Globalizing Industry (Hardcover): Hans Landstroem, Colin Mason Handbook of Research on Venture Capital: Volume 2 - A Globalizing Industry (Hardcover)
Hans Landstroem, Colin Mason
R4,995 Discovery Miles 49 950 Ships in 12 - 19 working days

This Handbook charts the development of venture capital research in light of the global financial crisis, starting with an analysis of the current venture capital market and the changing nature of the business angel market. Looking at governance structures, the performance of venture capitalists in terms of investments, economic impact and human capital, and the geographical organization of business angels and venture capital global 'hotspots', this book also analyzes the current state of venture capital research and offers a roadmap for the future. Contributors: A. Avdeitchikova, G. Avnimelech, D. Cumming, D. De Clercq, D. Dimov, S. Harel, S.A. Johan, H. Landstrom, D. Lingelbach, H. Lu, C. Mason, A. Parhankangas, J. Sohl, R. Sorheim, Y. Tan

Green Investing - Changing Paradigms and Future Directions (Hardcover, 1st ed. 2022): Alessandro Rizzello Green Investing - Changing Paradigms and Future Directions (Hardcover, 1st ed. 2022)
Alessandro Rizzello
R727 Discovery Miles 7 270 Ships in 12 - 19 working days

This book provides a unique picture of green finance by highlighting, under both theoretical and practical lenses, current changing paradigms and future directions in this field. The book is founded upon four major aspects that characterize current debates in green finance: products and services, financial innovation, green washing and transparency, and external pressures. The book is particularly useful to understand the current perimeter of the field; identify the potentials and challenges of the sector; explore current changing paradigms and its potentials to act as drivers for mainstreaming green finance; and conceptualize future directions of the field, with particular focus on its role in the post-COVID recovery plans. The book therefore is not only useful for deriving theoretical or practical implications for researchers and policy makers, but also to capture the evolving complexity of the field at the eve of extraordinary and green-driven changes in financial industry and in policy programs. The book also opens up interesting questions on theoretical advances in financial theory derived from these innovations and accelerated by the pandemic. It will be of interest to scholars and students from different academic disciplines such as economics, finance, political science, and entrepreneurship, as well as practitioners interested in green finance and in the financing of environmentally impactful organizations and projects.

Sovereign Debt Sustainability - Multilateral Debt Treatment and the Credit Rating Impasse (Hardcover): Daniel Cash Sovereign Debt Sustainability - Multilateral Debt Treatment and the Credit Rating Impasse (Hardcover)
Daniel Cash
R4,018 Discovery Miles 40 180 Ships in 12 - 19 working days

In 2020, the G20 proposed a solution for the debt-related issues affecting the world's poorest countries due to the COVID-19 pandemic. However, their initiatives have failed to meet their objectives. The author argues that the reason for this failure is the inability to bring sovereign countries to the table to re-negotiate their debt agreements with private creditors as they fear credit rating agencies and the prospect of a downgrade. The author refers to this as the 'credit rating impasse'. This book proposes a novel solution. The author asserts that there is a need in the literature to unpick the dynamic that exists and creates that impasse, namely the pressures that exist between sovereign states, private creditors, credit rating agencies, and the geo-political backdrop that is massively influential in the dynamic, that is, the adversarial relationship between China and the US. This book addresses the recent history of debt treatment for poorer countries and related successes and failures: COVID-19-related issues and the development of the Debt Service Suspension Initiative and the Common Framework for Debt Treatment. This book examines the reasons for their failure by analysing the positions of the sovereign states, the division between private and official creditors and between multilateral institutions such as the IMF and the World Bank, credit rating agencies, and the competing political entities of China and the US. It presents a wider picture of the systemic underpinnings to such debt-related issues and, when examined through a geo-political perspective, the subsequent chances of future debt treatment-related successes. Licence line: The Open Access version of this book, available at www.taylorfrancis.com, has been made available under a Creative Commons Attribution-Non Commercial-No Derivatives 4.0 license.

The New Business of Football - Accountability and Finance in Football (Hardcover): Samuel Boyd Morrow The New Business of Football - Accountability and Finance in Football (Hardcover)
Samuel Boyd Morrow
R2,877 Discovery Miles 28 770 Ships in 10 - 15 working days

This study of the business of football considers its income and cost drivers, its capital structure and its accounting policies through UK examples and international comparison. Also addressed are the conflicts arising out of the incorporation of football and the dichotomy between sport and business, leading to a suggested contemporary framework for accountability and business behaviour.

Strategic Management Accounting, Volume III - Aligning Ethics, Social Performance and Governance (Hardcover, 1st ed. 2019):... Strategic Management Accounting, Volume III - Aligning Ethics, Social Performance and Governance (Hardcover, 1st ed. 2019)
Vassili Joannides De Lautour
R3,366 Discovery Miles 33 660 Ships in 10 - 15 working days

This book responds to key issues in strategic management control by studying the interplay between ethics, social and environmental performance and governance. Grounded in research but written with practitioners and students in mind, it addresses the most up-to-date issues pertaining to ethical insights into management accounting and accountability.

Governance, Stewardship and Sustainability - Theory, Practice and Evidence (Hardcover, 2nd edition): George Dallas, Mike Lubrano Governance, Stewardship and Sustainability - Theory, Practice and Evidence (Hardcover, 2nd edition)
George Dallas, Mike Lubrano
R4,027 Discovery Miles 40 270 Ships in 12 - 19 working days

* The first primer on investor stewardship, addressing both theoretical frameworks and practical considerations * Based on the renowned ICGN training course on stewardship, also developed by the authors * Includes a detailed case study on Volkswagen's 'Dieselgate' scandal, to highlight real-world corporate governance issues and inspire professionals and students to come up with their own ideas on ESG

Fraud Investigation Reports in Practice - Convenience and Corporate Crime (Hardcover): Petter Gottschalk Fraud Investigation Reports in Practice - Convenience and Corporate Crime (Hardcover)
Petter Gottschalk
R4,029 Discovery Miles 40 290 Ships in 12 - 19 working days

Investigation reports are written by fraud examiners after completion of internal reviews in client organizations when there was suspicion of financial wrongdoing. Fraud examiners are expected to answer questions regarding what happened, when it happened, how it happened, and why. This book presents a number of case studies of investigation reports by fraud examiners, offering a framework for studying the report as well as insights into convenience of fraud. The case studies, including KPMG and PwC, focus on two important subjects. First, convenience themes are identified for each case. Themes derive from the theory of convenience, where fraud is a result of financial motives, organizational opportunities, and personal willingness for deviant behaviors. Second, review maturity is identified for each case. Review maturity derives from a stages-of-growth model, where the investigation is assigned a level of maturity based on explicit criteria. The book provides useful insights towards approaching fraud examinations to enable better understanding of the rational explanations for corporate fraud. The book is framed from the perspective of private policing, which contextualizes how investigation reports are examined. This book is a valuable resource for scholars and upper-level students researching and studying auditing and investigation work in the corporate and public sectors. Business and management as well as criminal justice scholars and students will learn from the case studies how to frame a white-collar crime incident by application of convenience theory and how to evaluate a completed internal investigation by fraud examiners.

Financial Strategies And Topics In Finance: Selected Public Lectures Of Professor Harold Bierman, Jr From 1960-2015... Financial Strategies And Topics In Finance: Selected Public Lectures Of Professor Harold Bierman, Jr From 1960-2015 (Paperback)
Harold Bierman Jr
R1,313 Discovery Miles 13 130 Ships in 12 - 19 working days

Financial Strategies and Topics in Finance is a collection of Professor Emeritus Harold Bierman, Jr.'s public lectures on corporate finance, given on behalf of the Johnson School of Business, Cornell University, from 1960 to 2015.By explaining complex financial strategies in a simplified manner, Professor Bierman makes corporate finance accessible to the non-expert reader as well. This collection of lectures covers highly relevant topics with financial insights and implications, that are very important to business managers and individual investors. Complex business decisions are simplified, allowing the logic of the decision process to become readily apparent.As Professor Bierman writes, 'A good business education will build on the basic financial tool of the time value of money and the net present value calculation. The lectures presented in this book are consistent with good present value calculations.'

Finance Policies and Procedures Manual (Hardcover, 2nd New Content ed.): Inc Bizmanualz Finance Policies and Procedures Manual (Hardcover, 2nd New Content ed.)
Inc Bizmanualz
R2,359 Discovery Miles 23 590 Ships in 10 - 15 working days
Equity Holders Under Siege (Hardcover, 1st First): Henry F Owsley, Peter S Kaufman Equity Holders Under Siege (Hardcover, 1st First)
Henry F Owsley, Peter S Kaufman
R1,708 Discovery Miles 17 080 Ships in 12 - 19 working days
Empirical Corporate Finance (Hardcover): Michael J Brennan Empirical Corporate Finance (Hardcover)
Michael J Brennan
R32,017 Discovery Miles 320 170 Ships in 12 - 19 working days

This four-volume collection contains a comprehensive selection of over 70 modern papers in empirical corporate finance. Empirical Corporate Finance also features a new introduction by the editor which explains the basis for the selection of the articles and relates the empirical findings they report to recent developments in corporate financial theory.The volumes are arranged by subject matter, reflecting the broad stages in the life-cycle of the firm, starting with venture capital and initial public offerings, and then moving on to events that characterize corporate maturity: dividend policy, investment policy, corporate governance issues, and financing strategy. The volumes conclude with sections on takeovers and bankruptcy. A major feature of the collection is its attention to the relation between corporate financial policy and the legal and economic framework within which the corporation operates; thus evidence is provided for the importance of asset resale markets as well as product markets for the capital structure decision; the legal framework is shown to be related to financing policies in different countries; and the existence of financial institutions such as banks and leasing companies is shown to have important consequences for financial policy. A pervasive theme of the volumes is the importance of informational asymmetries and agency relationships for understanding phenomena in corporate finance. Empirical Corporate Finance will serve as a reference for professionals and MBA students who are concerned with the evidence on important issues such as initial public offerings, dividend policy, capital structure. The volumes will also serve, both as an introduction to the techniques of investigation in empirical corporate finance, and to the major substantive findings in the field for doctoral students; finally, they will be an invaluable source of reference to the most important work that has been done in each of the major areas of research.

Real Estate Investment - A Strategic Approach (Hardcover, 4th edition): Andrew Baum Real Estate Investment - A Strategic Approach (Hardcover, 4th edition)
Andrew Baum
R5,420 Discovery Miles 54 200 Ships in 12 - 19 working days

New edition of UK's market leading Real Estate Investment textbook, reorganised with renewed focus on hot topic of PropTech and innovations in the global market, including Brexit, Covid-19, and Crypto Currencies Every chapter begins with and is built around a real-world case study from: Japan, UK, US, Kuwait Packed with professional and technical approaches to building a global real estate portfolio from internationally renowned Professor of Practice at Said Business School, University of Oxford

Financial Strategies And Topics In Finance: Selected Public Lectures Of Professor Harold Bierman, Jr From 1960-2015... Financial Strategies And Topics In Finance: Selected Public Lectures Of Professor Harold Bierman, Jr From 1960-2015 (Hardcover)
Harold Bierman Jr
R2,607 Discovery Miles 26 070 Ships in 10 - 15 working days

Financial Strategies and Topics in Finance is a collection of Professor Emeritus Harold Bierman, Jr.'s public lectures on corporate finance, given on behalf of the Johnson School of Business, Cornell University, from 1960 to 2015.By explaining complex financial strategies in a simplified manner, Professor Bierman makes corporate finance accessible to the non-expert reader as well. This collection of lectures covers highly relevant topics with financial insights and implications, that are very important to business managers and individual investors. Complex business decisions are simplified, allowing the logic of the decision process to become readily apparent.As Professor Bierman writes, 'A good business education will build on the basic financial tool of the time value of money and the net present value calculation. The lectures presented in this book are consistent with good present value calculations.'

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