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Books > Money & Finance > General

Finance for Non-Financiers 2 (Hardcover): Jose Saul Velasquez Restrepo, Jos Saul Vel Squez Restrepo Finance for Non-Financiers 2 (Hardcover)
Jose Saul Velasquez Restrepo, Jos Saul Vel Squez Restrepo
R763 Discovery Miles 7 630 Ships in 10 - 15 working days
How Anyone Can Make Money from the Stock Markets (Hardcover): Walk the Talk Ministries How Anyone Can Make Money from the Stock Markets (Hardcover)
Walk the Talk Ministries
R591 Discovery Miles 5 910 Ships in 18 - 22 working days

In Mt. 25: 14-30 God's word talks about money. One person is given five talents and to another is given two talents and to another one talent is given. Both the one's who was given five talents and two talents end up with twice as much in a period of time; but the one who had one talent was afraid of losing what he had, so he went and dogged in the earth, and hid the one talent in the ground. It doesn't matter how much money you or I have; it all comes down too, if we use what God gives us, He will give us more. This book is lesson number 110 that the Lord gave me. It can. take a loser and turn them into a winner if they follow His instructions. This lesson will teach anyone how to make money for themselves or anyone else by using money: and once they learn what, where, when and how to buy and sell stocks and never lose one Penney. They will never need anyone else to make money for them.

Making Capitalism Work - All Makes, All Models (Hardcover, New): Leonard Silk, Mark Silk Making Capitalism Work - All Makes, All Models (Hardcover, New)
Leonard Silk, Mark Silk
R1,526 Discovery Miles 15 260 Ships in 18 - 22 working days

In 1995, Republicans came to power in the United States with an ambitious program proposing to embrace a degree of laissez- faire economics unknown for generations anywhere in the industrialized world. Simultaneously, politicians, entrepreneurs, and economists championed the new bastions of unregulated capitalism that sprung up in such unfamiliar precincts as Beijing and Moscow. Yet to date many free-market economic policies, be it in Prague or here in America, have not lived up to their initial promises. In fact, it has become a common joke in Russia that capitalism has succeeded in making communism look good, a feat unaccomplished by the Kremlin in its 70 year reign.

In Making Capitalism Work, Leonard and Mark Silk analyze the failures and successes of capitalism as seen most recently in the former Soviet Bloc, Japan, China, the European Community and the United States. While recognizing that capitalism has been successful in a number of countries, the authors point out that overly simplistic policies advocating an unfettered capitalism ignore too large a range of issues central to the formation of any moral economic system. Viewing capitalism as simply one of a number of economic systems, Leonard and Mark Silk address such issues as the obligation of the rich to the poor, the responsibility of the state to insulate its citizens from market fluctuations, the responsibility of present generations to provide for future ones, and whether economic systems can set the proper extent and limits of individual rights and freedoms.

An important, concise, thought-provoking book this is the last book Leonard Silk wrote before his death late last year and has been completed here by his son, Mark.

An Introduction to Trading in the Financial Markets: Market Basics (Paperback): R. "Tee" Williams An Introduction to Trading in the Financial Markets: Market Basics (Paperback)
R. "Tee" Williams
R976 Discovery Miles 9 760 Ships in 10 - 15 working days

How do financial markets operate on a daily basis? This first of four volumes introduces the structures, instruments, business functions, technology, regulations, and issues that commonlyfoundin financial markets. Placing each of these elements into context, Tee Williams describes what people do to make the markets run. His descriptions apply to all financial markets, and he includescountry-specific features, stories, historical facts, glossaries, and brief technical explanations that reveal individual variations and nuances. Reinforcing his insights are visual cues that guide readers through the material. While this book won t turn you into an expert broker, it will explain where brokers fit into front office, middle office, and back office operations. And that knowledge is valuable indeed.

* Provides easy-to-understand descriptions of all major elements of financial markets

*Filled with graphs and definitions that help readers learnquickly

* Offers an integrated context based on the author's 30 years' experience"

Crisis, Risk and Stability in Financial Markets (Hardcover): Juan Fernandez De Guevara Radoselovics, Jose Pastor Monsalvez Crisis, Risk and Stability in Financial Markets (Hardcover)
Juan Fernandez De Guevara Radoselovics, Jose Pastor Monsalvez
R2,306 R1,837 Discovery Miles 18 370 Save R469 (20%) Ships in 10 - 15 working days

The current economic crisis is causing large impact on the behaviour of financial markets and institutions. Crisis, Risk and Stability in Modern Banking presents an in-depth insight into key topics related to the behaviour of financial institutions in the crisis, stressing areas of major research interest. It covers a selection of papers from the past European Association of University Teachers of Banking and Finance Conference (otherwise known as the Wolpertinger Conference) held at the University of Valencia, Spain in September 2011. This book analyses different subjects ranging from the analysis of the behaviour of rating agencies, bank performance in the crisis, banking regulation and its impact on bank management, the implications of bank stability on economic growth, the impact of globalization on financial stability, and the importance of stock exchange mergers, as well as other diverse areas such as microinsurance and social lending.

See No Evil - Uncovering The Truth Behind The Financial Crisis (Hardcover): E Banks See No Evil - Uncovering The Truth Behind The Financial Crisis (Hardcover)
E Banks
R1,280 Discovery Miles 12 800 Ships in 10 - 15 working days

The story of the recent global economic crisis is told in the words of the main players in the drama. Including quotes from bankers, rating agencies, housing agencies, regulators, politicians and media figures. Erik Banks' latest book shows why we are doomed to experience further financial crises in the future.

Greening the Financial Sector - How to Mainstream Environmental Finance in Developing Countries (Hardcover, 2012): Doris Koehn Greening the Financial Sector - How to Mainstream Environmental Finance in Developing Countries (Hardcover, 2012)
Doris Koehn
R1,541 Discovery Miles 15 410 Ships in 18 - 22 working days

Environmental finance, particularly energy efficiency and renewable energy (EERE) finance, can and should serve as an interface to other sub-sectors of financial sector promotion such as microfinance, housing finance or agricultural finance. For example, existing clients of financial institutions include small and medium-sized enterprises and households, and these are often suffering from high energy prices or have no access to sustainable energy supply. At the same time, these clients are vulnerable to extreme weather events, and often hit hardest by the impact of climate change. There are many other examples which show that the financial sector has an enormous potential to support "green" investments. In order to tap this potential on a sustainable basis, it is important to have a sound understanding which role financial institutions can and should play.

This book provides a blend of well-founded professional and scientific perspectives on the potential of Environmental finance in developing and transition countries.

Finance: The Discreet Regulator - How Financial Activities Shape and Transform the World (Hardcover): I. Huault, C. Richard Finance: The Discreet Regulator - How Financial Activities Shape and Transform the World (Hardcover)
I. Huault, C. Richard
R2,660 Discovery Miles 26 600 Ships in 18 - 22 working days

The financial sector is the talk of the global village. This book highlights that, before asserting that the institutions of the financial sector deserve to be regulated, one should consider that these very institutions are themselves the discreet regulators of the markets where their activity takes place.

Venture Capital & Sme Financing - In Less Developed Countries & Small Island States (Hardcover): Grenville Phillips Venture Capital & Sme Financing - In Less Developed Countries & Small Island States (Hardcover)
Grenville Phillips
R862 Discovery Miles 8 620 Ships in 10 - 15 working days
Aid and Power in the Arab World - IMF and World Bank Policy-Based Lending in the Middle East and North Africa (Hardcover): J.... Aid and Power in the Arab World - IMF and World Bank Policy-Based Lending in the Middle East and North Africa (Hardcover)
J. Harrigan, H. El-Said
R1,420 Discovery Miles 14 200 Ships in 18 - 22 working days

This book looks at the provision of finance in the Middle East and North Africa (MENA) by the IMF and World Bank in return for economic liberalization, exploring the political motivations of funding and geo-politics in recipients. The effectiveness of funding is questioned, with evidence from four MENA countries.

Accounting, Finance, and Taxation in the Gulf Countries (Hardcover): W. Abdallah Accounting, Finance, and Taxation in the Gulf Countries (Hardcover)
W. Abdallah
R1,413 Discovery Miles 14 130 Ships in 18 - 22 working days

This book focuses on how American and non-American multinational companies can plan and manage their international business in the Gulf countries. Important issues of accounting, auditing, finance, taxation, marketing, and managerial issues are covered in each of the selected Gulf countries.

Understanding Terrorist Finance (Hardcover, New): T. Wittig Understanding Terrorist Finance (Hardcover, New)
T. Wittig
R1,406 Discovery Miles 14 060 Ships in 18 - 22 working days

Wittig presents the first unified, coherent framework for the systematic analysis of terrorist finance. With empirical examples from around the globe, he dispels several popular myths about these activities to make an important step forward in our understanding of not only terrorist finance, but also the place of terrorism in the contemporary world.

Puzzles of Finance - Six Practical Problems and Their Remarkable Solutions (Hardcover): Mark P. Kritzman Puzzles of Finance - Six Practical Problems and Their Remarkable Solutions (Hardcover)
Mark P. Kritzman
R922 R789 Discovery Miles 7 890 Save R133 (14%) Ships in 18 - 22 working days

". . . shining clarity and enviable originality" -Peter L. Bernstein, author of Against the Gods
"Mark Kritzman presents the reader with an entertaining way of learning some serious finance."-Harry Markowitz, Nobel Prize Recipient, 1990, Economic Sciences President, Harry Markowitz Company
Six challenging questions . . . six entertaining solutions, profound yet straightforward, and relevant to the everyday challenge of investing and investment management.
Puzzles of Finance takes on today's most persistently challenging financial questions and, through clever examples and just plain logic, helps you move beyond those questions to arrive at a deeper understanding of finance and the daily management of money. From Siegel's Paradox ("Is it possible to profit from asymmetry of exchange rate changes?") to questions of option value ("Why is the value of an option unaffected by the underlying asset's expected return?"), Puzzles of Finance goes beyond vague theoretical suppositions to supply practical, concrete solutions that investors and money managers can benefit from every day.
While the intellectually curious will be drawn to Puzzles of Finance, it is the day-to-day finance professional who will derive the most benefit from this remarkable book. In clear, concise language-with more than a touch of humor-renowned author and financial professional Mark Kritzman simplifies six of today's most perplexing financial riddles. Along the way, he presents a finance primer as practical as it is profound, as illuminating as it is entertaining. Kritzman artfully explores the relationship of such seemingly disparate fields as botany and thermodynamics to options. These proofs propel Puzzles of Finance forward with the pace of a novel. An easy-to-understand primer on financial concepts and quantitative methods combined with a technical glossary ensures that no concept is misunderstood.
The result is an unprecedented book that will change the way you view finance and investing. When you invest your time in reading Puzzles of Finance, you will uncover some of the most probing and insightful lessons in financial literature today.
For updates on new and bestselling Wiley Finance books: wiley.com/wbns
Critical Praise for Puzzles of Finance
". . . an extraordinary combination of the elements of finance, commonsense wisdom, sparkling humor, shining clarity, and enviable originality. This is a potent blend by any standard of measurement. Long time Kritzman watchers, however, would anticipate nothing less." -Peter L. Bernstein, Author, Against the Gods
"A modest, lively, clever, little book. Kritzman's puzzles range from party tidbits to the profound, and each is presented with a bit of history, a lot of insight, and just the right measure of wit. While he may not have intended it to be more than a collection of interesting conundrums, Kritzman has actually created a wonderful introduction to finance for the uninitiated with challenges for even the most sophisticated."-Stephen A. Ross, Franco Modigliani Professor of Finance and Economics,Sloan School, MIT; Co-Chairman, Roll and Ross Asset Management Corp.
"Some people do crosswords. Mark Kritzman does financial puzzles and his explications amuse and instruct. Financial theory has never been this much fun."-Jack R. Meyer, President, Harvard Management Company
"Puzzles of Finance should be a joy to finance mavens and even their friends! Perhaps all students of the field should be required to solve these six puzzles; they go to the heart of the intuitions for essential contributions, such as the pricing of options, the meaning of efficient diversification, and the definition of risk."-Kenneth A. Froot, Andre R. Jakurski Professor of Business Administration and Director of Research, Harvard Business School

Financial Darwinism - Create Value Or Self-Destruct In A World of Risk (Hardcover): Leo M. Tilman Financial Darwinism - Create Value Or Self-Destruct In A World of Risk (Hardcover)
Leo M. Tilman
R676 R605 Discovery Miles 6 050 Save R71 (11%) Ships in 18 - 22 working days

Today’s complex economic and financial landscape requires a radically new way of thinking and making decisions on the part of executives, financial professionals, regulators, policy makers, and investors.

Global systemic financial crises, like the one that ravaged the global financial system in 2007-2008, astonishing financial losses, and ruin of once-venerable institutions serve as convincing evidence on what happens otherwise.

In Financial Darwinism, author Leo Tilman lays the groundwork for understanding the new financial order by introducing his evolutionary thesis and then outlines an actionable decision-making framework — which he refers to as Financial Darwinism — that enables financial instructions and investors to fully leverage the power of business strategy, corporate finance, investment analysis, and risk management in order to adapt and thrive.

Filled with important insights, unique perspective and breadth of real-life experience, Financial Darwinism will help financial institutions and investors worldwide face modern-day challenges and create a lasting economic value amidst complex, uncertain, and constantly evolving business and market environments.

Developing Sustainable Value in Economics, Finance, and Marketing (Hardcover): Ulas Akkucuk Developing Sustainable Value in Economics, Finance, and Marketing (Hardcover)
Ulas Akkucuk
R8,619 Discovery Miles 86 190 Ships in 18 - 22 working days

In an age of rising environmental concerns, it has become necessary for businesses to pay special attention the resources they are consuming and the long-term effects of the products they are creating. These concerns, coupled with the current global economic crisis, demand a solution that includes not only business, but politics, ecology, and culture as well. Developing Sustainable Value in Economics, Finance, and Marketing provides the latest empirical research findings on how sustainable development can work not just for organizations, but for the global economy as a whole. This book is an essential reference source for professionals and researchers in various fields, including economics, finance, and marketing; operations management; communication sciences; sociology; and information technology.

Minding the Markets - An Emotional Finance View of Financial Instability (Hardcover, New): D. Tuckett Minding the Markets - An Emotional Finance View of Financial Instability (Hardcover, New)
D. Tuckett
R3,120 Discovery Miles 31 200 Ships in 18 - 22 working days

"In this groundbreaking book, Tuckett argues that most economists' explanations of the financial crisis miss its essence; they ignore critical components of human psychology. He offers a deeper understanding of financial market behavior and investment processes by recognising the role played by unconscious needs and fears in all investment activity"--

Stochastic Optimal Control and the U.S. Financial Debt Crisis (Hardcover, 2012 ed.): Jerome L. Stein Stochastic Optimal Control and the U.S. Financial Debt Crisis (Hardcover, 2012 ed.)
Jerome L. Stein
R1,408 Discovery Miles 14 080 Ships in 18 - 22 working days

Stochastic Optimal Control (SOC)-a mathematical theory concerned with minimizing a cost (or maximizing a payout) pertaining to a controlled dynamic processunder uncertainty-has proven incredibly helpful to understanding and predicting debt crises and evaluating proposed financial regulation and risk management."Stochastic Optimal Control and the U.S. Financial Debt Crisis"analyzes SOC in relation to the 2008 U.S. financial crisis, and offers a detailed framework depicting why such a methodology is best suited for reducing financial risk and addressing key regulatory issues. Topics discussed include the inadequacies of the current approaches underlying financial regulations, the use of SOC to explain debt crises and superiority over existing approaches to regulation, and the domestic and international applications of SOC to financial crises. Principles in this book will appeal to economists, mathematicians, and researchers interested in the U.S. financial debt crisis and optimal risk management."

Computational Economics - A Perspective from Computational Intelligence (Hardcover): Shu-Heng Chen, Lakhmi Jain, Chung-ching Tai Computational Economics - A Perspective from Computational Intelligence (Hardcover)
Shu-Heng Chen, Lakhmi Jain, Chung-ching Tai
R2,375 Discovery Miles 23 750 Ships in 18 - 22 working days

Computational Economics: A Perspective from Computational Intelligence provides models of various economic and financial issues while using computational intelligence as a foundation. The scope of this volume comprises finance, economics, management, organizational theory and public policies. It explains the ongoing and novel research in this field, and displays the power of these computational methods in coping with difficult problems with methods from traditional perspectives. By encouraging the discussion of different views, this book serves as an introductory and inspiring volume that helps to flourish studies in computational economics.

Macromodeling Debt and Twin Deficits - Presenting the Instruments to Reduce Them (Hardcover): Wan Latifah Macromodeling Debt and Twin Deficits - Presenting the Instruments to Reduce Them (Hardcover)
Wan Latifah
R610 Discovery Miles 6 100 Ships in 10 - 15 working days
The Political Economy of Chinese Finance (Hardcover): J.Jay Choi, Michael R. Powers, Xiaotian Tina Zhang The Political Economy of Chinese Finance (Hardcover)
J.Jay Choi, Michael R. Powers, Xiaotian Tina Zhang
R4,089 Discovery Miles 40 890 Ships in 10 - 15 working days

Volume 17 of International Finance Review focusses on a variety of issues relating to the political economy of Chinese finance, including: The pattern of government ownership and control of Chinese firms; The role of government in corporate governance of industrial and financial firms; The interaction of culture, law and institutions in Chinese governance systems; Corporate social responsibility, stakeholders and sustainable growth; The effect of political connections on corporate performance and society; Privatization, IPOs, exchange listing and firm valuation; The role of government in banking and financial markets; Practice of corporate risk management and insurance; Foreign-exchange policy and its effect on firms and markets; Foreign direct and portfolio investments in China; International investments and operations of Chinese firms; Chinese economic relations with the US and other countries.

Microfinance Institutions - Financial and Social Performance (Hardcover): R. Mersland, Ostrom Microfinance Institutions - Financial and Social Performance (Hardcover)
R. Mersland, Ostrom
R3,350 Discovery Miles 33 500 Ships in 10 - 15 working days

Research on MFI performance is still in its infancy. MFIs are hybrid organizations with dual objectives. Performance studies in microfinance are therefore less straightforward compared to performance studies in traditional banking research. This book contains new MFI performance research by top scholars from across the globe.

Problems and Solutions in Mathematical Finance - Stochastic Calculus V1 (Hardcover, Volume 1): E. Chin Problems and Solutions in Mathematical Finance - Stochastic Calculus V1 (Hardcover, Volume 1)
E. Chin
R1,327 Discovery Miles 13 270 Ships in 10 - 15 working days

A guide to stochastic calculus as the basis behind mathematical finance An increasingly popular field of study at universities and an essential skill for investment bank employees, mathematical finance has changed dramatically in recent years, but its roots remain in stochastic calculus. Problems and Solutions in Mathematical Finance: Volume 1 provides a comprehensive explanation of stochastic calculus and probability theory focusing on their relationship with mathematical finance. Quantitative analysts Dr. Eric Chin and Dian Nel and Professor Sverrir Olafsson portray stochastic calculus' role in generating partial differentiation equations for pricing options and constructing probability measures in conjunction with martingale theory. Mathematical and computational finance rely on computational intelligence, numerical methods, and computer simulations to make trading, hedging, and investment decisions, to determine the risk of those decisions, and to define price derivatives. -Includes chapter-by-chapter introduction of the fundamental tenets, essential definitions, and detailed explanations needed to solve financial problems -Offers advice from experts in price testing methodologies, model calibration, energy markets, hedging in incomplete markets, and risk management Problems and Solutions in Mathematical Finance: Volume 1 functions as either an independent information text or a study supplement for students and practitioners eager to recover the basics of mathematical finance.

Shipping Derivatives and Risk Management (Hardcover): A Alizadeh, N. Nomikos Shipping Derivatives and Risk Management (Hardcover)
A Alizadeh, N. Nomikos
R4,656 Discovery Miles 46 560 Ships in 10 - 15 working days

A comprehensive book on shipping derivatives and risk management which covers the theoretical and practical aspects of financial risk in shipping. The book provides a thorough overview of the practice of risk management in shipping with the use of theoretical examples and real-life applications.

Finance Bundling and Finance Transformation - Shared Services Next Level (Hardcover, 2013 ed.): Frank Keuper, Kai-Eberhard Lueg Finance Bundling and Finance Transformation - Shared Services Next Level (Hardcover, 2013 ed.)
Frank Keuper, Kai-Eberhard Lueg
R2,760 Discovery Miles 27 600 Ships in 18 - 22 working days

In managerial literature the challenges of ramping-up, growing and enhancing a (Finance) Shared Services Organization are regularly neglected. Therefore, the compilation will address two objectives: First, based on a generic phase model of an SSO s development, frequently arising questions related to the management of SSOs shall be systematically discussed and practicable solutions derived. Secondly, a picture of the future of SSOs shall be elaborated, resulting in new future management implications.

Scenario Analysis in Risk Management - Theory and Practice in Finance (Hardcover, 1st ed. 2016): Bertrand K Hassani Scenario Analysis in Risk Management - Theory and Practice in Finance (Hardcover, 1st ed. 2016)
Bertrand K Hassani
R3,268 Discovery Miles 32 680 Ships in 10 - 15 working days

This book focuses on identifying and explaining the key determinants of scenario analysis in the context of operational risk, stress testing and systemic risk, as well as management and planning. Each chapter presents alternative solutions to perform reliable scenario analysis. The author also provides technical notes and describes applications and key characteristics for each of the solutions. In addition, the book includes a section to help practitioners interpret the results and adjust them to real-life management activities. Methodologies, including those derived from consensus strategies, extreme value theory, Bayesian networks, Neural networks, Fault Trees, frequentist statistics and data mining are introduced in such a way as to make them understandable to readers without a quantitative background. Particular emphasis is given to the added value of the implementation of these methodologies.

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