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Books > Business & Economics > Finance & accounting > Finance > Investment & securities > General

An Introduction to Credit Derivatives (Hardcover, 2nd edition): Moorad Choudhry An Introduction to Credit Derivatives (Hardcover, 2nd edition)
Moorad Choudhry
R1,633 Discovery Miles 16 330 Ships in 10 - 15 working days

The second edition of "An Introduction to Credit Derivatives" provides a broad introduction to products and a marketplace that have changed significantly since the financial crisis of 2008. Author Moorad Choudhry gives a practitioner's perspective on credit derivative instruments and the risks they involve in a succinct style without sacrificing technical details and scientific precision.

Beginning with foundational discussions of credit risk, credit risk transfer and credit ratings, the book proceeds to examine credit default swaps and related pricing, asset swaps, credit-linked notes, and more. Ample references, appendices and a glossary add considerably to the lasting value of the book for students and professionals in finance.
A post-crisis guide to a powerful bank risk management product, its history and its useLiberal use of Bloomberg screens and new worked examples increase hands-on practicalityNew online set of CDS pricing models and other worksheets multiply the book's uses

Wealth Creation and Poverty Reduction - Breakthroughs in Research and Practice, VOL 1 (Hardcover): Information Reso Management... Wealth Creation and Poverty Reduction - Breakthroughs in Research and Practice, VOL 1 (Hardcover)
Information Reso Management Association
R8,166 Discovery Miles 81 660 Ships in 18 - 22 working days
Capital Markets and Investment Decision Making (Hardcover, 1st ed. 2019): Raj S. Dhankar Capital Markets and Investment Decision Making (Hardcover, 1st ed. 2019)
Raj S. Dhankar
R3,382 Discovery Miles 33 820 Ships in 18 - 22 working days

This book discusses capital markets and investment decision-making, focusing on the globalisation of the world economy. It presents empirically tested results from Indian and Southwest Asian stock markets and offers valuable insights into the working of Indian capital markets. The book is divided into four parts: the first part examines capital-market operations, particularly clearance and settlement processes, and stock market operations. The second part then addresses the functioning of global markets and investment decisions; more specifically it explores calendar anomalies, dependencies, overreaction effect, causality effect and stock returns volatility in South Asia, U.S. and global stock markets as a whole. Part three covers issues relating to capital structure, values of firm and investment strategies. Lastly, part four discusses emerging issues in finance like behavioral finance, Islamic finance, and international financial reporting standards. The book fills the gap in the existing finance literature and helps fund managers and individual investors make more accurate investment decisions.

An Investor's Guide to the Korean Capital Market (Hardcover, New): Il-Woon Kim, Tai-soon Yoon An Investor's Guide to the Korean Capital Market (Hardcover, New)
Il-Woon Kim, Tai-soon Yoon
R2,219 R2,049 Discovery Miles 20 490 Save R170 (8%) Ships in 10 - 15 working days

The long-closed stock market of South Korea opened its doors to foreign investors in January 1992. Due to the success of the Korean economy during the past two decades, the country provides many new and exciting opportunities for foreign investors. This is the first book published in the United States that provides a comprehensive coverage of the Korean securities market. In addition to the structure and trading system of the Korean securities market, the other topics covered range from the Korean economy to a performance analysis of the stock market during the past ten years.

The book starts with a discussion of the economic development of South Korea since 1962, which gives an overall picture of the history and current status of the Korean economy. A historical review of the Korean securities market is the next topic, followed by in-depth coverage of administration, laws and taxes, and the trading system of the Korean securities market. A financial analysis of the listed companies and descriptive comments on each industry are provided in chapters 9, 16, and 17. Some miscellaneous topics are covered in the later chapters. These topics include the over-the-counter market, securities financing, securities investment trust, and investment advisory business.

Cryptocurrency Trading - The Ultimate Guide for Beginners to Start Investing in Bitcoin, Ethereum, Litecoin and Altcoins in... Cryptocurrency Trading - The Ultimate Guide for Beginners to Start Investing in Bitcoin, Ethereum, Litecoin and Altcoins in 2021 and Beyond. Create Wealth with Mining and Best Strategies in Blockchain (Hardcover)
Ryan Martinez
R664 R593 Discovery Miles 5 930 Save R71 (11%) Ships in 18 - 22 working days
Speculation As a Fine Art and Thoughts on Life (Hardcover): Dickson G Watts Speculation As a Fine Art and Thoughts on Life (Hardcover)
Dickson G Watts
R446 R414 Discovery Miles 4 140 Save R32 (7%) Ships in 18 - 22 working days
Cryptocurrency - The Ultimate Guide To The 20 Cryptocurrencies To Watch In 2018 (Hardcover): Jared Snyder Cryptocurrency - The Ultimate Guide To The 20 Cryptocurrencies To Watch In 2018 (Hardcover)
Jared Snyder
R555 R504 Discovery Miles 5 040 Save R51 (9%) Ships in 18 - 22 working days
Style Investing - Unique Insight into Equity Management (Hardcover): R. Bernstein Style Investing - Unique Insight into Equity Management (Hardcover)
R. Bernstein
R2,110 R1,687 Discovery Miles 16 870 Save R423 (20%) Ships in 18 - 22 working days

Headed by Bernstein, the quantitative equity and equity derivatives strategies group at Merrill Lynch is noted for their proprietary research on market segmentation and style investing. In this book, he highlights the macroeconomic, microeconomic and expectational factors that can affect equity market segment performance. The first section focuses on the definition and identification of market segments and reviews the major equity market segments that concern today's institutional investors. Part two analyzes the historical result of each segment of style strategy within the context of the economic and expectational framework. Lastly, it describes current issues and problems in equity markets and their implications for pension plan sponsors.

New Concepts in Investment and Technology: Volume II (Hardcover): Perry Stinson New Concepts in Investment and Technology: Volume II (Hardcover)
Perry Stinson
R3,164 R2,866 Discovery Miles 28 660 Save R298 (9%) Ships in 18 - 22 working days
The Truth Is in the Numbers (Hardcover): Doug Allen The Truth Is in the Numbers (Hardcover)
Doug Allen
R708 Discovery Miles 7 080 Ships in 18 - 22 working days
OTC Derivatives: Bilateral Trading and Central Clearing - An Introduction to Regulatory Policy, Market Impact and Systemic Risk... OTC Derivatives: Bilateral Trading and Central Clearing - An Introduction to Regulatory Policy, Market Impact and Systemic Risk (Hardcover)
David Murphy
R2,434 Discovery Miles 24 340 Ships in 10 - 15 working days

The OTC derivatives market has been hit by a massive wave of regulatory change. Capital and margin requirements have increased, trade reporting has been mandated, and execution mechanisms are evolving. Most of all, central clearing is being imposed for many transactions.
"OTC Derivatives: Bilateral Trading and Central Clearing" explains the new rules and the new models. It discusses the traditional bilateral market, then sets out how this will change due to mandatory central clearing and the new ways in which OTC derivatives will have to be traded, reported, and processed. The risks of OTC derivatives clearing houses are discussed in detail, as are the protections that CCPs have against these risks. The book also looks at alternatives to some of the policy decisions that have been made, showing the balance between costs and benefits of various different approaches to derivatives market stability. The book is both a detailed primer on OTC derivatives clearing and a powerful insight into post-crisis financial regulation.
Key features of the book include:
- A discussion of the capital rules for OTC derivatives counterparty credit risk in Basel III;
- An account of OTC derivatives trade processing in both bilateral and cleared markets;
- A detailed account of the risk profile of OTC derivatives CCPs;
- An explanation of the risks run in various collateral segregation models; and
- A comparison of various macro-prudential tools for enhancing the financial stability of OTC derivatives markets.

How I Made $2,000,000 in the Stock Market (Hardcover): Nicolas Darvas How I Made $2,000,000 in the Stock Market (Hardcover)
Nicolas Darvas
R505 Discovery Miles 5 050 Ships in 10 - 15 working days

How did a world-famous dancer with no knowledge of the stock market, or of finance in general, make 2 million dollars in the stock market in 18 months starting with only $10,000? Darvas is legendary, and with good reason. Find out why.

New Concepts in Investment and Technology: Volume III (Hardcover): Perry Stinson New Concepts in Investment and Technology: Volume III (Hardcover)
Perry Stinson
R3,165 R2,868 Discovery Miles 28 680 Save R297 (9%) Ships in 18 - 22 working days
How to Stop Living Paycheck to Paycheck - How to take control of your money and your financial freedom starting today Volume 2... How to Stop Living Paycheck to Paycheck - How to take control of your money and your financial freedom starting today Volume 2 (Hardcover)
Phil Wall
R555 R504 Discovery Miles 5 040 Save R51 (9%) Ships in 18 - 22 working days
Artificial Intelligence in Finance and Investing - Theory and Application in Portfolio Management (Hardcover, 2 Revised... Artificial Intelligence in Finance and Investing - Theory and Application in Portfolio Management (Hardcover, 2 Revised Edition)
Jae K. Lee
R1,714 R1,431 Discovery Miles 14 310 Save R283 (17%) Ships in 18 - 22 working days

In Artificial Intelligence in Finance and Investing, authors Robert Trippi and Jae Lee explain this fascinating new technology in terms that portfolio managers, institutional investors, investment analysis, and information systems professionals can understand. Using real-life examples and a practical approach, this rare and readable volume discusses the entire field of artificial intelligence of relevance to investing, so that readers can realize the benefits and evaluate the features of existing or proposed systems, and ultimately construct their own systems. Topics include using Expert Systems for Asset Allocation, Timing Decisions, Pattern Recognition, and Risk Assessment; overview of Popular Knowledge-Based Systems; construction of Synergistic Rule Bases for Securities Selection; incorporating the Markowitz Portfolio Optimization Model into Knowledge-Based Systems; Bayesian Theory and Fuzzy Logic System Components; Machine Learning in Portfolio Selection and Investment Timing, including Pattern-Based Learning and Fenetic Algorithms; and Neural Network-Based Systems. To illustrate the concepts presented in the book, the authors conclude with a valuable practice session and analysis of a typical knowledge-based system for investment management, K-FOLIO. For those who want to stay on the cutting edge of the "application" revolution, Artificial Intelligence in Finance and Investing offers a pragmatic introduction to the use of knowledge-based systems in securities selection and portfolio management.

New Concepts in Investment and Technology: Volume I (Hardcover): Perry Stinson New Concepts in Investment and Technology: Volume I (Hardcover)
Perry Stinson
R3,164 R2,867 Discovery Miles 28 670 Save R297 (9%) Ships in 18 - 22 working days
Cryptocurrency Investing in the time of autonomy (Hardcover): George Stallion Cryptocurrency Investing in the time of autonomy (Hardcover)
George Stallion
R625 R565 Discovery Miles 5 650 Save R60 (10%) Ships in 18 - 22 working days
Foreign Direct Investment In China: Winners And Losers (Hardcover): Cheryl Xiaoning Long, Galina Hale Foreign Direct Investment In China: Winners And Losers (Hardcover)
Cheryl Xiaoning Long, Galina Hale
R2,226 Discovery Miles 22 260 Ships in 18 - 22 working days

This book provides a comprehensive analysis of the effects that foreign direct investment into China has had on the productivity, exporting activity, and innovation of Chinese domestic firms, as well as on the nation's labor markets. The analysis relies on the most complete data available and state-of-the-art statistical analysis. The book also includes a critical overview of existing theoretical and empirical literature on these issues and is meant to provide guidance to researchers in the area of FDI effects in general, as well as those interested in studying the Chinese economy.

China After the Subprime Crisis - Opportunities in The New Economic Landscape (Hardcover): C Lo China After the Subprime Crisis - Opportunities in The New Economic Landscape (Hardcover)
C Lo
R2,654 Discovery Miles 26 540 Ships in 18 - 22 working days

This book analyzes the post-subprime crisis world from the global, Asian and Chinese perspectives. It dispels some of the myths about the crisis's effects on Asia and China; and exposes the ugly truth of bailout policies and their distortion and hindering of the world's economic rebalancing effort in the post-subprime era.

Trading and Investing Using the Smart Plan Method - Best Method for Self-Directed Beginner Traders (Paperback): Joe Chavos Trading and Investing Using the Smart Plan Method - Best Method for Self-Directed Beginner Traders (Paperback)
Joe Chavos
R496 Discovery Miles 4 960 Ships in 18 - 22 working days
The Multifamily Millionaire, Volume II - Create Generational Wealth by Investing in Large Multifamily Real Estate (Hardcover):... The Multifamily Millionaire, Volume II - Create Generational Wealth by Investing in Large Multifamily Real Estate (Hardcover)
Brandon Turner, Brian Murray
R719 R648 Discovery Miles 6 480 Save R71 (10%) Ships in 18 - 22 working days
Probability And Finance Theory (Hardcover): Kian Guan Lim Probability And Finance Theory (Hardcover)
Kian Guan Lim
R2,244 Discovery Miles 22 440 Ships in 18 - 22 working days

This book provides a basic grounding in the use of probability to model random financial phenomena of uncertainty, and is targeted at an advanced undergraduate and graduate level. It should appeal to finance students looking for a firm theoretical guide to the deep end of derivatives and investments. Bankers and finance professionals in the fields of investments, derivatives, and risk management should also find the book useful in bringing probability and finance together. The book contains applications of both discrete time theory and continuous time mathematics, and is extensive in scope. Distribution theory, conditional probability, and conditional expectation are covered comprehensively, and applications to modeling state space securities under market equilibrium are made. Martingale is studied, leading to consideration of equivalent martingale measures, fundamental theorems of asset pricing, change of numeraire and discounting, risk-adjusted and forward-neutral measures, minimal and maximal prices of contingent claims, Markovian models, and the existence of martingale measures preserving the Markov property. Discrete stochastic calculus and multiperiod models leading to no-arbitrage pricing of contingent claims are also to be found in this book, as well as the theory of Markov Chains and appropriate applications in credit modeling. Measure-theoretic probability, moments, characteristic functions, inequalities, and central limit theorems are examined. The theory of risk aversion and utility, and ideas of risk premia are considered. Other application topics include optimal consumption and investment problems and interest rate theory.

Investing Against the Tide - Lessons from a Life Running Money (Paperback): Anthony Bolton Investing Against the Tide - Lessons from a Life Running Money (Paperback)
Anthony Bolton
R675 R599 Discovery Miles 5 990 Save R76 (11%) Ships in 5 - 10 working days

This authoritative and accessible investment classic promises rare insight into what it really takes to run money in a top-performing investment fund. Anthony Bolton, the UK's most successful stock market investor, tells the story of his contrarian approach to managing money. He provides invaluable lessons on the factors that really matter in picking a stock: the need to identify good managers, how to run a portfolio, the importance of value investing, reading charts and how to trade successfully.

How to Hire (or Fire) Your Financial Advisor - Ten Simple Questions to Guide Decision Making (Hardcover): Cfs Ivan M Illan How to Hire (or Fire) Your Financial Advisor - Ten Simple Questions to Guide Decision Making (Hardcover)
Cfs Ivan M Illan
R538 R497 Discovery Miles 4 970 Save R41 (8%) Ships in 18 - 22 working days
Unmasking Financial Psychopaths - Inside the Minds of Investors in the Twenty-First Century (Hardcover): D. Gregory Unmasking Financial Psychopaths - Inside the Minds of Investors in the Twenty-First Century (Hardcover)
D. Gregory
R1,791 Discovery Miles 17 910 Ships in 10 - 15 working days

As financial markets expand globally in response to economic and technological developments of the twenty-first century, our understanding and expectations of the people involved in these markets also change. Unmasking Financial Psychopaths suggests that an increasing number of financiers labeled "financial psychopaths" are not truly psychopathic, but instead are by-products of a rapidly changing personal and professional environment. Advances have been made in identifying psychopaths outside of situations accompanied by physical violence, yet it is still difficult to differentiate psychopaths in cultural settings that have adopted psychopathic behavioral tendencies as the norm. Within the investment sector, a fundamental transformation has occurred: the type of person employed by financial firms and the environment within which finance is conducted have both changed. Society's expectation of financiers adapted to these subtle, behind-the-scenes shifts, resulting the public at large perceiving more individuals in the financial sector as acting in a psychopathic manner. Being able to distinguish the truly psychopathic financier from individuals who conform to behavioral expectations is the first step towards a cultural shift away from accepted psychopathic behaviors in the financial sector.

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