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Books > Money & Finance > Investment & securities > General

The Fundamental Index - A Better Way to Invest (Hardcover): R. D. Arnott The Fundamental Index - A Better Way to Invest (Hardcover)
R. D. Arnott
R701 R630 Discovery Miles 6 300 Save R71 (10%) Ships in 18 - 22 working days

2008 American Publishers Awards for Professional and Scholarly Excellence (The PROSE Awards) Finalist/Honorable mention, Business, Finance & Management.

"The Fundamental Index" examines a new approach to indexing that can overcome the structural return drag created by traditional capitalization-based indexing strategies, and in so doing, enhance the performance of your portfolio. Throughout this book, Robert Arnott and his colleagues outline this breakthrough strategy and explain how it can be used to improve investment returns, typically at lower risk and lower cost than most conventional investments.

If You're So Smart, Why Aren't You Rich? - A Guide to Investing Fundamentals (Hardcover): Ben S Branch If You're So Smart, Why Aren't You Rich? - A Guide to Investing Fundamentals (Hardcover)
Ben S Branch
R1,938 R1,737 Discovery Miles 17 370 Save R201 (10%) Ships in 10 - 15 working days

Football is often described as a game of inches. First downs, scoring, and in/out of bound decisions that can determine the outcome of the game may even come down to fractions of an inch. Investing is similar: the difference between outperforming or underperforming the market may be a few fractions of a percentage point. As Ben Branch succinctly states, successful investing, defined as outperforming the market averages, is not easy. And yet it is very much a game worth playing, particularly if you win. The key to being on the winning side is to understand the fundamental principles of investing—what it is and how it works—before making any decision. In this highly practical, non-technical guide, Branch introduces the reader to stocks, bonds, options, mutual funds, real estate, futures, and all of the other basic elements of the market. He debunks popular myths and misconceptions about investing and shows you how to avoid mistakes in order to invest wisely. An extensive glossary, definitions and examples, and lists of dos and don'ts will make this book a handy resource for the novice as well as for seasoned investors looking to take their game to the next level. In this highly practical, non-technical guide, Branch provides the building blocks of a multi-dimensional investing approach. First, he reviews the principle of compound interest, the foundation of all investment strategy and performance. Then, arguing that successful investing is a function of three types of activities—selection, timing, and execution—he introduces the reader to stocks, bonds, options, mutual funds, real estate, futures, and all of the other elements of the market. In addition to covering well-known investments in detail, he explains lesser-known opportunities, such as bankruptcies and takeovers. Special topics include the effects of macroeconomic trends and the subtleties of timing for maximum advantage. He debunks popular myths and misconceptions about investing and shows you how to avoid mistakes in order to invest wisely. An extensive glossary, definitions and examples, and lists of dos and don'ts will make this book a handy resource for the novice, as well as for seasoned investors looking to take their game to the next level.

The Electronic Call Auction: Market Mechanism and Trading - Building a Better Stock Market (Hardcover, 2001 ed.): Robert A.... The Electronic Call Auction: Market Mechanism and Trading - Building a Better Stock Market (Hardcover, 2001 ed.)
Robert A. Schwartz
R4,270 Discovery Miles 42 700 Ships in 18 - 22 working days

This book considers how the inclusion of electronic call auction trading would affect the performance of our U.S. equity markets. The papers it contains focus on the call auction and its role in a hybrid market structure. The purpose is to increase understanding of this trading environment, and to consider the design of a more efficient stock market. A call auction is a form of trading that died out in the pre-computer age but is making its reentrance today as an electronic marketplace. Batching orders for simultaneous execution at a single moment in time at a single price is the essence of call auction trading. Because its determination is based on the full set of orders, the clearing price in a call auction can be thought of as a consensus value.' This contrasts with a continuous market where a transaction is made any time a buy and sell order meet in price, and where price generally fluctuates as the orders meet. Recent advances in computer technology have considerably expanded the call auction's functionality. We suggest that the problems we are facing concerning liquidity, volatility, fragmentation and price discovery are largely endemic to the continuous market, and that the introduction of electronic call auction trading in the U.S. would be the most important innovation in market structure that could be made. This book had its origin in a symposium, Electronic Call Market Trading, that was held at New York University's Salomon Center on April 20, 1995. At the time, three proprietary trading systems based on call auction principles (The Arizona Stock Exchange, Posit, and Instinet's Crossing Network) had been operating for several years and interest already existed in theprocedure. Since the symposium, increasing use has been made of call auctions, primarily by the ParisBourse in its Nouveau Marchi and CAC markets, by Deutsche BArse in its Xetra market, and for fixed income in the U.S. by State Street's BondConnect. Rather than being used as stand alone systems, however, call auctions are now being interfaced with continuous markets so as to produce hybrid market structures, a development to which considerable attention is given in a number of the chapters in this book. The book is divided into three parts. The first, Call Auction Trading, gives an overview of this trading environment. The second, Investor Trading Practices and the Demand for Immediacy, contains the findings of four institutional trader surveys. The third, Market Structure: The Broader Picture, presents a more inclusive view of the development of market structure.

Signs that Markets are Coming Back (Hardcover): John Kensinger Signs that Markets are Coming Back (Hardcover)
John Kensinger
R3,665 Discovery Miles 36 650 Ships in 10 - 15 working days

The volume includes two contributions on hedge funds. One evaluates the performance of hedge funds in market environments that are conducive to active management versus environments that are not. The other provides an empirical study of the market timing skills of hedge fund managers. Additionally, we have two contributions in the area of options. One extends the real options approach to options in which the underlying assets are information items such as seismic databases (rather than tangible real assets), opening the way for a complete analysis of investments along the so-called "Virtual Value Chain." Another offers a significant improvement in the estimation of implied volatility by developing a least-squared-error approach to the problem of "smiles and frowns." We also have an analysis of whether a firm's founders can create an artificial dividend without adversely affecting the value of the firm to other investors. From Canada, we have an empirical analysis of the current uneasy case for adding real estate investments to a portfolio. From Spain is an empirical analysis of whether earnings management activities by companies lead to an increase in qualified audit reports.

The Credit Risk of Complex Derivatives (Hardcover, 2nd Revised edition): Erik Banks The Credit Risk of Complex Derivatives (Hardcover, 2nd Revised edition)
Erik Banks
R4,049 Discovery Miles 40 490 Ships in 18 - 22 working days

' ...the author of this book deserves praise for providing a valuable reference for those looking to improve their technical and product knowledge...essential reference material for any derivative-focused credit department.' - Tony Aston of Chase Manhattan, London in Risk;This new edition of Credit Risk of Complex Derivatives is fully updated and enhanced. It discusses and analyses the credit risks of the new financial derivatives. The book commences with an overview of the regulatory environment and the renewed emphasis on risk Management. It then provides a comprehensive review of complex options and swaps, with extensive examples and illustrations. The text concludes with a detailed discussion of portfolio credit risk issues and techniques in order to ensure the most effective and accurate understanding of complex derivative credit risk.

Treynor On Institutional Investing (Hardcover): JL Treynor Treynor On Institutional Investing (Hardcover)
JL Treynor
R2,426 R1,953 Discovery Miles 19 530 Save R473 (19%) Ships in 18 - 22 working days

Praise for TREYNOR ON INSTITUTIONAL INVESTING

"Jack Treynor has a mind of his own. I mean that as the highest compliment. Jack Treynor sees what no one else sees, thinks what no one else thinks, explains what no one else explains. You will learn more in fifteen minutes with Jack Treynor than in a full hour with most pundits. You will work hard but you will see things, think things, and understand things as never before. This book is a most valuable treasure, gleaming with Jack Treynor's brilliance."
--Peter L. Bernstein, author, Capital Ideas Evolving

"Vintage Treynor. This is a must-own reference for anyone involved in institutional asset management. It assembles -- in one place -- many of the important insights of one of the most provocative and creative players in the finance world over the past half-century."
--Robert D. Arnott, Chairman, Research Affiliates, and Former Editor, Financial Analysts Journal

"As a practicing investment manager, Treynor always preferred brilliance to soundness. Identifying the flaws in conventional thinking, he shows both the theorist and the practitioner where to invest time in their search for excess return."
--Perry Mehrling, Professor of Economics, Barnard College, Columbia University, author, Fischer Black and the Revolutionary Idea of Finance

"Jack Treynor's new book brings together a lifetime of exploring the important questions surrounding the sophisticated investor's task. Readers of Treynor on Institutional Investing will be richly rewarded by the insights the author has developed about both the practical and the conceptual keys to successful investing."
--Samuel L. Hayes, III, Jacob Schiff Professor of InvestmentBanking Emeritus, Harvard Business School

The Model - 37 Years Investing in Asian Equities (Hardcover): Richard H Lawrence The Model - 37 Years Investing in Asian Equities (Hardcover)
Richard H Lawrence
R1,126 R927 Discovery Miles 9 270 Save R199 (18%) Ships in 9 - 17 working days

Richard H. Lawrence, Jr. founded Overlook Investments in Hong Kong in 1991. Since inception, Overlook has grown at 14.3% per year for three decades-a remarkable record of growth that is testament to a consistent ability to find and invest in Asia's best companies. This raises two important questions: How did Overlook achieve its success; and how can Overlook best ensure future success? Now, in a level of detail never before disclosed, Richard and the Overlook executive team turn the lens inward to analyse The Overlook Model. They describe the philosophies, practices and people that drive Overlook's outperformance. Welcome to The Model . The Model is composed primarily of stories-of the people, companies, executives and events that have punctuated three decades at Overlook. There are stories of success, but also stories of problems and failure. This is how Overlook learned and grew. The two principal stories are a pulsating case study of the voracious 1997/98 Asian Crisis; and an extended review of TSMC, Asia's finest public company. A sharp focus is also placed on the constituent elements of The Overlook Model: Overlook's Investment Philosophy and Business Practices, which add up to Overlook's Margin of Safety. This analysis of investment theory-how an investment management company should be run-illustrates how Overlook is able to say with confidence that it can nearly guarantee delivery of outperformance to its investors. And where would Overlook be without China? Overlook's experiences in Asia reflect the ways that Overlook's methods of investing have succeeded while Asia grew and matured over the past three decades. For this reason, The Model contains a series of chapters charting Overlook's path in China. Finally, the Overlook executives provide a series of delightful chapters including The Art of Selling; an interview with Jeffrey Lu Minfang; a panel discussion on Overlook's home city of Hong Kong; and thoughts on ESG. The Model is a celebration of three decades of success in investing in Asia. It gives Richard Lawrence, along with James Squire, Leonie Foong and William Leung, the opportunity to answer: Just how did Overlook do it; and can Overlook keep doing it in the future?

Asia Pacific Derivative Markets (Hardcover): Erik Banks Asia Pacific Derivative Markets (Hardcover)
Erik Banks
R5,285 Discovery Miles 52 850 Ships in 18 - 22 working days

Erik Banks, responsible for global risk management at Merrill Lynch in Hong Kong, has written another text on the derivatives field covering innovation in these instruments in Asia Pacific. The text acts as a detailed reference on the nature of these markets and the prospects for the Asian derivative markets, both listed and OTC. He also includes an analysis of the Australian, New Zealand and Japanese markets to fit the emerging markets into context.

The Handbook of Portfolio Mathematics - Formulas for Optimal Allocation and Leverage (Hardcover): R Vince The Handbook of Portfolio Mathematics - Formulas for Optimal Allocation and Leverage (Hardcover)
R Vince
R1,805 R1,691 Discovery Miles 16 910 Save R114 (6%) Ships in 10 - 15 working days

"The Handbook of Portfolio Mathematics"

"For the serious investor, trader, or money manager, this book takes a rewarding look into modern portfolio theory. Vince introduces a leverage-space portfolio model, tweaks it for the drawdown probability, and delivers a superior model. He even provides equations to maximize returns for a chosen level of risk. So if you're serious about making money in today's markets, buy this book. Read it. Profit from it."
--Thomas N. Bulkowski, author, "Encyclopedia of Chart Patterns"

"This is an important book. Though traders routinely speak of their 'edge' in the marketplace and ways of handling 'risk, ' few can define and measure these accurately. In this book, Ralph Vince takes readers step by step through an understanding of the mathematical foundations of trading, significantly extending his earlier work and breaking important new ground. His lucid writing style and liberal use of practical examples make this book must reading."
--Brett N. Steenbarger, PhD, author, "The Psychology of Trading and Enhancing Trader Performance"

"Ralph Vince is one of the world's foremost authorities on quantitative portfolio analysis. In this masterly contribution, Ralph builds on his early pioneering findings to address the real-world concerns of money managers in the trenches--how to systematically maximize gains in relation to risk."
--Nelson Freeburg, Editor, "Formula Research"

"Gambling and investing may make strange bedfellows in the eyes of many, but not Ralph Vince, who once again demonstrates that an open mind is the investor's most valuable asset. What does bet sizing have to do with investing? The answer to that question and many morelie inside this iconoclastic work. Want to make the most of your investing skills? Open this book."
--John Bollinger, CFA, CMT, www.BollingerBands.com

Reminiscences of a Stock Operator (Annotated Edition) - with the Livermore Market Key and Commentary Included (Hardcover,... Reminiscences of a Stock Operator (Annotated Edition) - with the Livermore Market Key and Commentary Included (Hardcover, Annotated edition)
Edwin Lefevre; Appendix by Andras M Nagy
R648 Discovery Miles 6 480 Ships in 10 - 15 working days
Portfolio Management - How to Innovate and Invest in Successful Projects (Hardcover, New): Shan Rajegopal Portfolio Management - How to Innovate and Invest in Successful Projects (Hardcover, New)
Shan Rajegopal
R1,924 Discovery Miles 19 240 Ships in 10 - 15 working days

In Portfolio Management , Shan Rajegopal, a leading authority on innovation and project portfolio management, provides an integrated project portfolio management framework which links innovation, investment and implementation. A successful tried and tested method, this blueprint will be a hands-on guide for business executives.

The Role of Law and Regulation in Sustaining Financial Markets (Hardcover): Niels Philipsen, Guangdong Xu The Role of Law and Regulation in Sustaining Financial Markets (Hardcover)
Niels Philipsen, Guangdong Xu
R5,789 Discovery Miles 57 890 Ships in 10 - 15 working days

This book explores the role of law and regulation in sustaining financial markets in both developed and developing countries, particularly the European Union, United States and China. The central argument of this book is that law matters for the operation of financial markets, which, in turn, significantly influences the performance of firms, industries, and economies.

"

The Role of Law and Regulation in Sustaining Financial Markets" is divided into four parts. Part one addresses the connection between law, financial development, and economic growth. Part two deals with the role of financial regulation, which can be used to correct market failures, such as negative externalities, information asymmetries, and monopolies. Part three focuses on the design, functioning, and performance of different financial instruments. Part four examines the topic of Corporate Social Responsibility. This book contributes to the law and finance literature by studying certain conventional issues, such as the relationship between finance and economic growth, and the effects of regulatory quality on financial development, from new perspectives and/or with new evidence, data, and cases. It also explores novel topics, such as project finance contracts, insurance and climate change, the shadow banking system, that have been overlooked in current literature.

This book is meaningful not only for the EU and the US, which have suffered considerably from the financial crisis of 2008, but also for China, which is struggling to build a sound institutional infrastructure to govern its increasingly complicated financial system. By comparing the regulatory philosophies and practices of the EU, the US and China, this book will help the reader to understand the diverse nature of the global law and finance nexus and avoid succumbing to the myth of "one size fits all.""

Derivatives and Internal Models (Hardcover, 3rd ed. 2004): H Deutsch Derivatives and Internal Models (Hardcover, 3rd ed. 2004)
H Deutsch
R5,284 Discovery Miles 52 840 Ships in 18 - 22 working days

The successful first edition provided an introduction to the valuation and risk management of modern financial instruments, formulated in a precise mathematical expression and comprehensively covering all relevant topics using consistent and exact notation. In this edition, Deutsch continues with this philosophy covering new and more advanced topics including risk adjusted performance and portfolio optimization. This edition also includes a CD-ROM in the form of Excel workbooks giving detailed models of the concepts discussed in the book.

Capitalism With Derivatives - A Political Economy of Financial Derivatives, Capital and Class (Hardcover, 2006 ed.): D. Bryan,... Capitalism With Derivatives - A Political Economy of Financial Derivatives, Capital and Class (Hardcover, 2006 ed.)
D. Bryan, M. Rafferty
R2,655 Discovery Miles 26 550 Ships in 18 - 22 working days

What are the links between things as diverse as the prices of pork bellies, interest rates, and corporate stock? They are all being translated into risk and priced through the system of derivative markets. Financial derivatives are now the largest form of financial transaction in the world, and they are transforming in pervasive ways the lived experience of capitalist economies. Financial derivatives are anchoring the global financial system and challenging the conventional understanding of ownership, money and capital. These challenges are examined in this book, providing a significant reinterpretation of contemporary capitalism that will be of interest to both social scientists and conventional finance scholars.

Program-Related Investments - A Technical Manual for Foundations (Hardcover, New): C I Baxter Program-Related Investments - A Technical Manual for Foundations (Hardcover, New)
C I Baxter
R5,910 Discovery Miles 59 100 Ships in 18 - 22 working days

Program-related investments (PRIs) are hybrid grants/loans made by foundations to charities. They allow foundations to stretch their limited funds further. This book provides foundations with guidelines for evaluating PRIs, monitoring grant recipients, and tracking returned funds.

The Passive Income Blueprint - 4 Books in 1: Discover the Ways to Create Passive Income and Make Money Online with Ecommerce... The Passive Income Blueprint - 4 Books in 1: Discover the Ways to Create Passive Income and Make Money Online with Ecommerce using Shopify, Amazon FBA, Affiliate Marketing, Retail Arbitrage, and eBay (Hardcover)
Income Mastery
R1,009 R873 Discovery Miles 8 730 Save R136 (13%) Ships in 18 - 22 working days
The Mathematics of Derivatives - Tools for Designing Numerical Algorithms (Hardcover): RL Navin The Mathematics of Derivatives - Tools for Designing Numerical Algorithms (Hardcover)
RL Navin
R1,182 R1,091 Discovery Miles 10 910 Save R91 (8%) Ships in 10 - 15 working days

Praise for The Mathematics of Derivatives

"The Mathematics of Derivatives provides a concise pedagogical discussion of both fundamental and very recent developments in mathematical finance, and is particularly well suited for readers with a science or engineering background. It is written from the point of view of a physicist focused on providing an understanding of the methodology and the assumptions behind derivative pricing. Navin has a unique and elegant viewpoint, and will help mathematically sophisticated readers rapidly get up to speed in the latest Wall Street financial innovations."
--David Montano, Managing Director JPMorgan Securities

"A stylish and practical introduction to the key concepts in financial mathematics, this book tackles key fundamentals in the subject in an intuitive and refreshing manner whilst also providing detailed analytical and numerical schema for solving interesting derivatives pricing problems. If Richard Feynman wrote an introduction to financial mathematics, it might look similar. The problem and solution sets are first rate."
--Barry Ryan, Partner Bhramavira Capital Partners, London

"This is a great book for anyone beginning (or contemplating), a career in financial research or analytic programming. Navin dissects a huge, complex topic into a series of discrete, concise, accessible lectures that combine the required mathematical theory with relevant applications to real-world markets. I wish this book was around when I started in finance. It would have saved me a lot of time and aggravation."
--Larry Magargal

Beyond Technical Analysis - How to Develop and Implement a Winning Trading System (Hardcover, 2nd Ed): Tushar S. Chande Beyond Technical Analysis - How to Develop and Implement a Winning Trading System (Hardcover, 2nd Ed)
Tushar S. Chande
R2,450 R1,951 Discovery Miles 19 510 Save R499 (20%) Ships in 18 - 22 working days

Acclaim for Tushar Chande’s revolutionary approach for developing and implementing your own winning trading system

"Tushar Chande provides insightful but clear-cut techniques which will enlighten the savant as well as the newcomer. I would urge traders of all levels of experience to apply Chande's tremendously useful strategies!"–Charles Le Beau, President, Island View Financial Group Inc., author, Computer Analysis of the Futures Market

"The chapter on ‘Equity Curve Analysis’ alone will share with you concepts which have cost large trading houses millions of dollars to discover."–Murray A. Ruggiero Jr., Contributing Editor, Futures magazine

President, Ruggiero Associates

"Tushar Chande is an accomplished quantitative technician, but in this book he’s gone far beyond grinding numbers. His coverage of system development is the first thorough treatment disclosing both specific trading systems and the practicalities of their implementation."–John Sweeney, Technical Editor, Technical Analysis of Stocks & Commodities magazine; author, Maximum Adverse Excursion: Analyzing Price Fluctuations for Trading Management

"For any aspiring CTA, this is a must-read on developing [his or her] trading system."–Rick Leesley, Jack Carl Futures

The Day Trading Realist - The Ultimate Brutal Truth for Brand New Traders (Paperback): Joseph Dinero The Day Trading Realist - The Ultimate Brutal Truth for Brand New Traders (Paperback)
Joseph Dinero
R479 Discovery Miles 4 790 Ships in 18 - 22 working days
Impact Investment Funds for Frontier Markets in Southeast Asia - Creating a Platform for Institutional Capital, High-Quality... Impact Investment Funds for Frontier Markets in Southeast Asia - Creating a Platform for Institutional Capital, High-Quality Foreign Direct Investment, and Proactive Policy Making (Hardcover)
Manuel Stagars
R3,264 Discovery Miles 32 640 Ships in 10 - 15 working days

Until now, most socially responsible and impact investments have centred on developed markets, with growth potential and investment opportunities in the frontier economies of countries such as Cambodia, Laos, Myanmar, and Vietnam being mostly overlooked. While some individuals and organizations have begun to develop responsible investment opportunities with these countries in mind, large new sources of capital for development could still emerge. This book explores the greater potential for global investment in Southeast Asia, and the ways in which socially responsible investment styles can be used in their developing economies. It demonstrates how the benefits of investment could create a robust platform for separate stakeholders, including governments, non-governmental organizations, development banks, the financial sector, and small and medium sized enterprises. The author explores how shaping collaborative sustainable investment policies could speed up inclusive development, address the needs of those at the bottom of the pyramid, and ensure sustainable future growth.

Four Voices - Managing love, loyalty, family wealth and succession through the generations (Hardcover): John Vamos Four Voices - Managing love, loyalty, family wealth and succession through the generations (Hardcover)
John Vamos
R1,282 R1,076 Discovery Miles 10 760 Save R206 (16%) Ships in 18 - 22 working days
$hortening the Day Trader Learning Curve - How to Make Money Faster for Beginners (Paperback): Joseph Moneta $hortening the Day Trader Learning Curve - How to Make Money Faster for Beginners (Paperback)
Joseph Moneta
R492 Discovery Miles 4 920 Ships in 18 - 22 working days
Mastering the Art of Equity Trading through Simulation + Web-Based Software - The TraderEx Course (Paperback): R.A. Schwartz Mastering the Art of Equity Trading through Simulation + Web-Based Software - The TraderEx Course (Paperback)
R.A. Schwartz
R1,603 R1,306 Discovery Miles 13 060 Save R297 (19%) Ships in 18 - 22 working days

An interactive guide to successfully trading in today's markets

"Mastering the Art of Equity Trading Through Simulation" is a guidebook to interactive computer trading simulation designed to provide participants with hands-on experience in making tactical decisions and implementing them in different market environments-from continuous order drive markets to call auction markets, and from dealer markets to dark liquidity pools.

By showing traders how to operate in these different markets, this reliable resource quickly reveals a good deal about what trading involves and how market design impacts trading decisions.Provides a virtual platform that gives users hands-on experience in making tactical trading decisionsShows exactly how prices are established in the marketplaceTeaches how the structure of a marketplace influences participant decisions

Learning to trade through study is like learning about a roller coaster ride verbally. You may get the idea of going up and down and around curves, but will lack the actual experience. "Mastering the Art of Equity Trading Through Simulation" will get you as close as possible to the markets-without actually going in them-and prepare you to profit once you're really there.

Forex Trading - A Beginners' Guide to making money using Forex Trading Strategies (Hardcover): George Pain Forex Trading - A Beginners' Guide to making money using Forex Trading Strategies (Hardcover)
George Pain
R834 Discovery Miles 8 340 Ships in 18 - 22 working days
Asset Management Standards - Corporate Governance for Asset Management (Hardcover, 2003 ed.): Otto Loistl, Robert Petrag Asset Management Standards - Corporate Governance for Asset Management (Hardcover, 2003 ed.)
Otto Loistl, Robert Petrag
R5,156 Discovery Miles 51 560 Ships in 18 - 22 working days

Asset management standards are crucial for building trust between investors and capital market experts. The issue of corporate governance has been thrown into the spotlight by the disastrous collapse of Enron and the implications for the industry. The proposed standards are relevant for the entire fund industry, regulators, providers of pension plans, and portfolio managers. Produced in association with the European Federation of Financial Analysts Societies, this book aims to provide a well-founded basis for development of the content of asset management standards in the UK, the US, and the EU. It contains a detailed overview of the current position, outlines planned developments and discusses underlying problems.

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