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

Real Estate Investing For Dummies, 4th Edition (Paperback, 4th Edition): E. Tyson Real Estate Investing For Dummies, 4th Edition (Paperback, 4th Edition)
E. Tyson
R511 Discovery Miles 5 110 Ships in 12 - 17 working days

Make real estate part of your investing strategy Do you want to get involved in real estate investing, but aren't quite sure where to start? This is your go-to resource for making sense of the subject. Written by industry experts Eric Tyson and Robert Griswold, this new edition of Real Estate Investing For Dummies offers timely, proven, practical, and actionable advice to overcome the challenges of the market and keep yourself one step ahead of the competition. With the help of this straightforward and time-tested information, you'll get the know-how to wisely and confidently make smart, sound, and informed real estate investing decisions that will reap big rewards. Highlights include: The Tax Reform and Jobs Act bill that took effect in 2018 The best types of investment properties for different types of investors NNN (triple nets) investments and REITs/TICs Tech applications to support property management operations and accounting A step-by-step primer for preparing to buy, identifying the property, due diligence, closing the transaction, leasing the property and ongoing operations and property management. There's no time like the present to jump into the real estate market--as first-time investors or experienced investors who want to brush up on the changes that have occurred in the market.

Stop. Think. Invest.: A Behavioral Finance Framework for Optimizing Investment Portfolios (Hardcover): Michael Bailey Stop. Think. Invest.: A Behavioral Finance Framework for Optimizing Investment Portfolios (Hardcover)
Michael Bailey
R613 Discovery Miles 6 130 Ships in 12 - 17 working days

In an economy that's more unpredictable than ever-the proven method for avoiding emotional mistakes that can wreak havoc on your portfolio returns Applying powerful behavioral finance concepts, Stop. Think. Invest. provides a framework for identifying personal biases and avoiding mistakes that can cost them big profits. Based on the author's extensive research and 100 key behavioral finance concepts, this guide provides a winning 12-step process you can use to successfully manage your trading and investing for long-term success, including: Begin the Initial Research into a New Stock Create an Investment Thesis: Why Are You Buying the Stock? Trade Timing and Size: When Are You Buying and How Much? Make the Initial Purchase Review of Trade: Round Up or Round Down Test Your Original Investment Thesis Stop. Think. Invest. reveals important information about behavioral finance flaws, such as anchoring, confirmation bias, recency bias, and loss aversion. Unlike other such investing guides, Stop. Think. Invest. offers a fully organized and practical approach to applying behavioral finance to everyday investing.

Buy It, Rent It, Profit! (Updated Edition) - Make Money as a Landlord in Any Real Estate Market (Paperback): Bryan M Chavis Buy It, Rent It, Profit! (Updated Edition) - Make Money as a Landlord in Any Real Estate Market (Paperback)
Bryan M Chavis
R541 R472 Discovery Miles 4 720 Save R69 (13%) Ships in 10 - 15 working days
Financial Economics and Econometrics (Paperback): Nikiforos T. Laopodis Financial Economics and Econometrics (Paperback)
Nikiforos T. Laopodis
R2,184 Discovery Miles 21 840 Ships in 12 - 17 working days

Financial Economics and Econometrics provides an overview of the core topics in theoretical and empirical finance, with an emphasis on applications and interpreting results. Structured in five parts, the book covers financial data and univariate models; asset returns; interest rates, yields and spreads; volatility and correlation; and corporate finance and policy. Each chapter begins with a theory in financial economics, followed by econometric methodologies which have been used to explore the theory. Next, the chapter presents empirical evidence and discusses seminal papers on the topic. Boxes offer insights on how an idea can be applied to other disciplines such as management, marketing and medicine, showing the relevance of the material beyond finance. Readers are supported with plenty of worked examples and intuitive explanations throughout the book, while key takeaways, 'test your knowledge' and 'test your intuition' features at the end of each chapter also aid student learning. Digital supplements including PowerPoint slides, computer codes supplements, an Instructor's Manual and Solutions Manual are available for instructors. This textbook is suitable for upper-level undergraduate and graduate courses on financial economics, financial econometrics, empirical finance and related quantitative areas.

Lombard Street - A Description of the Money Market (Hardcover): Walter Bagehot Lombard Street - A Description of the Money Market (Hardcover)
Walter Bagehot
R668 Discovery Miles 6 680 Ships in 12 - 17 working days
Expansion or Exodus: Why Do Russian Corporations Invest Abroad? - Why Do Russian Corporations Invest Abroad? (Hardcover): Kari... Expansion or Exodus: Why Do Russian Corporations Invest Abroad? - Why Do Russian Corporations Invest Abroad? (Hardcover)
Kari Liuhto
R3,878 Discovery Miles 38 780 Ships in 12 - 17 working days

Since the collapse of the former Soviet Union, tremendous changes have taken place in the Russian Federation's trade relationship with other countries--especially with former allies. Expansion or Exodus examines how and why Russian corporations invest outside the country and why most of that money remains abroad as the growth and performance of these companies increases at an accelerated rate. As the Federation moves closer to joining the World Trade Organization, this timely book provides a global view of Russia's outward expansion, exploring the operations of Russian firms in old, new, and forthcoming European Union member states.

Journey to Wealth - The Complete Guide to Credit Repair (Hardcover): Brett Mitchell Journey to Wealth - The Complete Guide to Credit Repair (Hardcover)
Brett Mitchell
R592 Discovery Miles 5 920 Ships in 12 - 17 working days

Based on years of consumer credit research and his own experiences as a credit consultant and consumer credit activist, Brett Mitchell teaches you how to eliminate negative items from your credit report and establish good credit. By using the credit letters in this book you can legally remove your bad credit and re-establish good credit within weeks. Learn how to re-establish your credit and remove bankruptcies, charges, collections, foreclosures, tax liens, late payments.

Advanced REIT Portfolio Optimization - Innovative Tools for Risk Management (Hardcover, 1st ed. 2022): W. Brent Lindquist,... Advanced REIT Portfolio Optimization - Innovative Tools for Risk Management (Hardcover, 1st ed. 2022)
W. Brent Lindquist, Svetlozar T. Rachev, Yuan Hu, Abootaleb Shirvani
R1,853 Discovery Miles 18 530 Ships in 10 - 15 working days

This book provides an investor-friendly presentation of the premises and applications of the quantitative finance models governing investment in one asset class of publicly traded stocks, specifically real estate investment trusts (REITs). The models provide highly advanced analytics for REIT investment, including: portfolio optimization using both historic and predictive return estimation; model backtesting; a complete spectrum of risk assessment and management tools with an emphasis on early warning systems, risk budgeting, estimating tail risk, and factor analysis; derivative valuation; and incorporating ESG ratings into REIT investment. These quantitative finance models are presented in a unified framework consistent with dynamic asset pricing (rational finance). Given its scope and practical orientation, this book will appeal to investors interested in portfolio optimization and innovative tools for investment risk assessment.

Technical Analysis of Stock Trends (Paperback, 11th edition): Robert D. Edwards, John Magee, W. H. C. Bassetti Technical Analysis of Stock Trends (Paperback, 11th edition)
Robert D. Edwards, John Magee, W. H. C. Bassetti
R1,167 Discovery Miles 11 670 Ships in 12 - 17 working days

Technical Analysis of Stock Trends helps investors make smart, profitable trading decisions by providing proven long- and short-term stock trend analysis. It gets right to the heart of effective technical trading concepts, explaining technical theory such as The Dow Theory, reversal patterns, consolidation formations, trends and channels, technical analysis of commodity charts, and advances in investment technology. It also includes a comprehensive guide to trading tactics from long and short goals, stock selection, charting, low and high risk, trend recognition tools, balancing and diversifying the stock portfolio, application of capital, and risk management. This updated new edition includes patterns and modifiable charts that are tighter and more illustrative. Expanded material is also included on Pragmatic Portfolio Theory as a more elegant alternative to Modern Portfolio Theory; and a newer, simpler, and more powerful alternative to Dow Theory is presented. This book is the perfect introduction, giving you the knowledge and wisdom to craft long-term success.

Building a Wall Around Your Wealth A Concise Guide to Asset Protection for Minnesota's Affluent - A Concise Guide to Asset... Building a Wall Around Your Wealth A Concise Guide to Asset Protection for Minnesota's Affluent - A Concise Guide to Asset Protection for Minnesota's Affluent (Hardcover)
Michael Redden
R508 Discovery Miles 5 080 Ships in 12 - 17 working days
Forex for Beginners - The Forex Guide for Making Money with Currency Trading (Hardcover): Baron McBane Forex for Beginners - The Forex Guide for Making Money with Currency Trading (Hardcover)
Baron McBane
R555 R462 Discovery Miles 4 620 Save R93 (17%) Ships in 10 - 15 working days
Options Trading - The Beginners Guide to Invest and Make a Passive Income & The Best Strategies to Maximize The Profit... Options Trading - The Beginners Guide to Invest and Make a Passive Income & The Best Strategies to Maximize The Profit (Hardcover)
Anthony Price
R891 R741 Discovery Miles 7 410 Save R150 (17%) Ships in 10 - 15 working days
Real Estate Investing - Master Rentals And Build Your Empire And Passive Income With Apartment Rentals, Multifamily Homes And... Real Estate Investing - Master Rentals And Build Your Empire And Passive Income With Apartment Rentals, Multifamily Homes And Commercial Real Estate Flipping (Hardcover)
Income Mastery
R687 R569 Discovery Miles 5 690 Save R118 (17%) Ships in 10 - 15 working days
Inward Investment, Technological Change and Growth - The Impact of Multinational Corporations on the UK Economy (Hardcover): N.... Inward Investment, Technological Change and Growth - The Impact of Multinational Corporations on the UK Economy (Hardcover)
N. Pain
R2,801 Discovery Miles 28 010 Ships in 10 - 15 working days

Original essays identify the channels through which inward investment can affect host economies and shape the size and structure of industrialized economies over the last decade. Leading experts in international investment and the behavior of national and multinational firms combine innovative methodologies and firm-level data to evaluate the impact of inward investment on such issues as productivity, technology, and innovation. They compare UK developments to those experienced by French, Italian, German and US economies.

Transparency and Fragmentation - Financial Market Regulation in a Dynamic Environment (Hardcover): J. Board, C. Sutcliffe, S.... Transparency and Fragmentation - Financial Market Regulation in a Dynamic Environment (Hardcover)
J. Board, C. Sutcliffe, S. Wells
R2,803 Discovery Miles 28 030 Ships in 10 - 15 working days

This is the first major treatment of the effects of increased transparency on financial markets: an important and highly controversial issue for both traders and regulators. Focussing on three main themes - market transparency, the consolidation-fragmentation of trading systems, and the scope of regulation (i.e. which markets, and which traders within those markets, should be subject to regulation), the book highlights the importance of these issues to all markets throughout the world. The authors draws on research from eight UK-based investment exchanges, Deutsche Borse in Frankfurt, and documentary evidence from the US markets and their regulators.

The Company Share - Legal Regulation and Public Policy (Hardcover): David Milman The Company Share - Legal Regulation and Public Policy (Hardcover)
David Milman
R2,733 Discovery Miles 27 330 Ships in 12 - 17 working days

The legal regulation of company shares is a fundamental building block in a capitalist society. This insightful book provides an historical analysis of the phenomenon, investigating underlying policy issues and considering relevant aspects of current law to explore possible future trends. David Milman examines the phenomenon of the company share in a holistic way, tracing the origins of the share and exploring the diversity present within the family of shares. Using a comparative approach, key chapters consider the circumstances under which shares are acquired, the property law perspective relevant to shares and the rights and obligations of those who hold shares. The book concludes with speculation on how the share might evolve in the future in light of technological change and the development of other capital raising investments. This accessible book will provide valuable insight to scholars researching corporate law. It will also be beneficial for policymakers and practitioners wishing to understand more about the history of the company share, and how this may impact its future.

Genetic Algorithms and Applications for Stock Trading Optimization (Hardcover): Vivek Kapoor, Shubhamoy Dey Genetic Algorithms and Applications for Stock Trading Optimization (Hardcover)
Vivek Kapoor, Shubhamoy Dey
R6,512 Discovery Miles 65 120 Ships in 12 - 17 working days

Genetic algorithms (GAs) are based on Darwin's theory of natural selection and survival of the fittest. They are designed to competently look for solutions to big and multifaceted problems. Genetic algorithms are wide groups of interrelated events with divided steps. Each step has dissimilarities, which leads to a broad range of connected actions. Genetic algorithms are used to improve trading systems, such as to optimize a trading rule or parameters of a predefined multiple indicator market trading system. Genetic Algorithms and Applications for Stock Trading Optimization is a complete reference source to genetic algorithms that explains how they might be used to find trading strategies, as well as their use in search and optimization. It covers the functions of genetic algorithms internally, computer implementation of pseudo-code of genetic algorithms in C++, technical analysis for stock market forecasting, and research outcomes that apply in the stock trading system. This book is ideal for computer scientists, IT specialists, data scientists, managers, executives, professionals, academicians, researchers, graduate-level programs, research programs, and post-graduate students of engineering and science.

Fixed Income Mathematics (Hardcover): Robert Zipf Fixed Income Mathematics (Hardcover)
Robert Zipf
R2,411 Discovery Miles 24 110 Ships in 12 - 17 working days

An introduction to common fixed income instruments and mathematics, this book offers explanations, exercises, and examples without demanding sophisticated mathematics. Not only does the author use his business and teaching experience to highlight the fundamentals of investment and management decision-making, but he also offers questions and exercises that suggest the applicability of fixed income mathematics. Written for the reader with a general mathematics background, this self-teaching book is suffused with examples that also make it a handy reference guide. It should serve as a gateway to financial mathematics and to increased competence in business analysis.
* An easy-to-understand introduction to the mathematics of common fixed income instruments
* Offers students explanations, exercises, and examples without demanding sophisticated mathematics
* Uses international comparisons to illustrate how interest is compounded

The Naked Trader's Guide to Spread Betting - How to make money from shares in up or down markets (Paperback, 2nd New... The Naked Trader's Guide to Spread Betting - How to make money from shares in up or down markets (Paperback, 2nd New edition)
Robbie Burns
R509 R370 Discovery Miles 3 700 Save R139 (27%) Ships in 12 - 17 working days

REVISED AND UPDATED 2ND EDITION OF THE NO.1 BESTSELLER! Have you dabbled in shares or the stock market? And wondered what spread betting was all about and whether you should be doing it? Perhaps you thought it all looked a bit complex or was just for City boys? The no. 1 bestselling beginner's guide that explains - in plain English - how to do it, and how to make money from it, is back and bigger and better than ever! Spread betting shares can be dangerous: most people lose - some even lose their shirts. But it's not a world populated by pinstriped men waiting to rob you, steal your savings and do nasty things to small kittens. You can win. (And you never have to pay a penny in tax!) This book shows you how. Robbie Burns, bestselling author of The Naked Trader and Trade Like a Shark, has been spread betting for years. He explains why it's an indispensable tool to use alongside normal investing or trading. Especially as you can make money even if the market goes down. Robbie takes you through everything from how it works, to managing your risk, working out exposure, and how, often, doing nothing is the best move! He explains the ins and outs of successfully betting on shares in his trademark down-to-earth style, covering everything you need to know. From the simple stuff through to proven strategies, including those that can be used in different markets - it's all here. There are also behind-the-scenes visits to two top spread betting firms. But it's a big, bad old world out there, and there are a whole heap of mistakes you can make, an awful lot of money you can lose. Rounding up spine-chilling traders' tales of spread bets gone wrong, and using all he has learnt from making silly mistakes himself, Robbie also helps you learn what not to do. This is the ultimate guide to spread betting - how to do it, have fun and hopefully make a few quid.

Options - 45 Years Since The Publication Of The Black-scholes-merton Model: The Gershon Fintech Center Conference (Hardcover):... Options - 45 Years Since The Publication Of The Black-scholes-merton Model: The Gershon Fintech Center Conference (Hardcover)
Zvi Wiener, Alexander Lipton, David Gershon, Mathieu Rosenbaum
R3,514 Discovery Miles 35 140 Ships in 10 - 15 working days

This book contains contributions by the best-known and consequential researchers who, over several decades, shaped the field of financial engineering. It presents a comprehensive and unique perspective on the historical development and the current state of derivatives research. The book covers classical and modern approaches to option pricing, realized and implied volatilities, classical and rough stochastic processes, and contingent claims analysis in corporate finance. The book is invaluable for students, academic researchers, and practitioners working with financial derivatives, market regulation, trading, risk management, and corporate decision-making.

Investment Management and Mismanagement - History, Findings, and Analysis (Hardcover, 2006 ed.): Seth Anderson Investment Management and Mismanagement - History, Findings, and Analysis (Hardcover, 2006 ed.)
Seth Anderson
R2,896 Discovery Miles 28 960 Ships in 10 - 15 working days

This book presents a critical analysis of four critical areas of investment management. Coverage includes an overview of portfolio management and its historical evolution; review and analysis of a range of academic research into the performance of portfolio managers; issues associated with both institutional and individual portfolio mismanagement; and a treatment of the important topics of suitability and churning. The contents are gathered from top academic, investment and law journals.

European Capital Markets (Hardcover): W. Seifert, A. Achleitner, F. Mattern, C. Streit, H. Voth European Capital Markets (Hardcover)
W. Seifert, A. Achleitner, F. Mattern, C. Streit, H. Voth
R2,766 Discovery Miles 27 660 Ships in 10 - 15 working days

The competition between European financial centres is a subject of spirited public debate. Has the introduction of the Euro undermined London's position? Does tax competition disadvantage some European centres? Should the regulation of institutional investment be changed? Is it a good policy for governments to promote their national financial centres? And would the UK joining the European monetary union threaten the position of other European centres? These are some of the questions confronting policymakers and industry players. This book provides a firm empirical basis for examining these issues and provides a means to compare the efficiency, performance and future potential of the main European financial centres.

Provincial Stock Exchanges (Hardcover): W.A. Thomas Provincial Stock Exchanges (Hardcover)
W.A. Thomas
R5,306 Discovery Miles 53 060 Ships in 12 - 17 working days

First Published in 2005. Routledge is an imprint of Taylor & Francis, an informa company.

Institutional Investors and Corporate Governance (Hardcover, Reprint 2010): Theodor Baums, Richard M. Buxbaum, Klaus J. Hopt Institutional Investors and Corporate Governance (Hardcover, Reprint 2010)
Theodor Baums, Richard M. Buxbaum, Klaus J. Hopt
R6,124 Discovery Miles 61 240 Ships in 12 - 17 working days

The volume contains 23 articles by international experts, both scholars and practioners dealing with the development of institutional investors (such as banks, insurances, investment companies, pension funds etc.), their investment and voting policies, the impact on managements of the companies concerned and related issues. The consequences of the international development on capital markets as well as policy implications for the respective national legislations are treated.

Closed-End Fund Pricing - Theories and Evidence (Hardcover, 2002 ed.): Seth Anderson, Jeffery A. Born Closed-End Fund Pricing - Theories and Evidence (Hardcover, 2002 ed.)
Seth Anderson, Jeffery A. Born
R2,851 Discovery Miles 28 510 Ships in 10 - 15 working days

Closed-End Investment Companies (CEICs) have experienced a significant revival of interest, both as investment vehicles and as the subject of academic research, over the past decade. This academic research has focused on the nature of closed-end funds' discounts and premiums and on the share price behavior of these firms. The first book by the authors, "Closed-End Investment Companies: Issues and Answers," addresses closed-end fund academic articles published prior to 1991. This second book addresses those articles that have appeared since that time. Closed-End Fund Pricing: Theories and Evidence is designed for the academic researcher interested in CEICs and the practitioner interested in using CEICs as an investment vehicle. The authors summarize the evolution of CEICs, present the factors thought to cause CEIC shares to trade at different levels from their net asset values, provide a complete survey of the recent academic literature on this topic, and summarize the current state of research on CEICs.

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