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

Finance's Wrong Turns - A New Foundation for Financial Markets, Asset Management, and Social Science (Hardcover, 1st ed.... Finance's Wrong Turns - A New Foundation for Financial Markets, Asset Management, and Social Science (Hardcover, 1st ed. 2023)
Richard O. Michaud
R1,239 Discovery Miles 12 390 Ships in 10 - 15 working days

There is a foundational crisis in financial theory and professional investment practice: There is little, if any, credible evidence that active investment strategies and traditional institutional quantitative technologies are able to provide superior risk-adjusted, cost-adjusted return over investment relevant horizons. Economic and financial theory has been in error for more than fifty years and is the fundamental cause of the persistent ineffectiveness of professional asset management. Contemporary sociological and economic theory, agent-based modeling, and an appreciation of the social context for preference theory provides a rational and intuitive framework for understanding financial markets and economic behavior. The author narrates his long-term experience in the use and limitations of traditional tools of quantitative asset management as an institutional asset manager in practice and as a quantitative analyst and strategist on Wall Street. Monte Carlo simulation methods, modern statistical tools, and U.S. patented innovations are introduced to redefine portfolio optimality and procedures for enhanced professional asset management. A new social context for expected utility theory leads to a novel understanding of modern equity markets as a financial intermediary for purchasing power constant time-shift investing uniquely appropriate for meeting investor long-term investment objectives. This book addresses the limitations and indicated resolutions for more useful financial theory and more reliable asset management technology. In the process, it traces the major historical developments of theory and institutional asset management practice and their limitations over the course of the 20th century to the present, including Markowitz and the birth of modern finance, CAPM theory and emergence of institutional quantitative asset management, CAPM and VM theory limitations and ineffective iconic tools and strategies, and innovations in statistical methodologies and financial market theory.

Performance of Mutual Funds - An International Perspective (Hardcover, Annotated Ed): G. Gregoriou Performance of Mutual Funds - An International Perspective (Hardcover, Annotated Ed)
G. Gregoriou
R5,166 Discovery Miles 51 660 Ships in 18 - 22 working days

Recently there has been a growing demand for mutual funds and how their performance compares to other funds on an international level. This significant new book focuses on the changes in some countries regarding the new paradigm of international investing through mutual funds. This is an indispensable collection of original papers on the mutual fund industry focusing on various European countries, the U.S. and New Zealand. Performance is assessed using a fresh approach, innovative techniques and various models. This book will allow the reader and practitioner to gain a perspective and understanding of mutual funds on an international level.

Seasonal Stock Market Trends - The Definitive Guide to Calendar-Based Stock Market Trading (Hardcover): J Kaeppel Seasonal Stock Market Trends - The Definitive Guide to Calendar-Based Stock Market Trading (Hardcover)
J Kaeppel
R1,464 R1,202 Discovery Miles 12 020 Save R262 (18%) Ships in 18 - 22 working days

There is a seasonal bias to the stock market, and by paying attention to the seasonal market tendencies you can gain an edge in the stock market over the long haul. Seasonality offers a practical approach to investing and trading. What better way to learn how to employ seasonal systems than learning from Jay Kaeppel, a master in the analysis of seasonal trends? Kaeppel walks you through this phenomenon that continues to work consistently, providing you with his ultimate seasonal index to make the calendar work for you. Stock Market Seasonals provides a never-before-seen definitive guide that illustrates how to utilize a combination of four basic seasonal tendencies in order to maximize returns.

Get Started in Shares - Trading for the First-Time Investor (Paperback): Glen Arnold Get Started in Shares - Trading for the First-Time Investor (Paperback)
Glen Arnold
R495 R457 Discovery Miles 4 570 Save R38 (8%) Ships in 5 - 10 working days

Investing can be fun as well as rewarding. It could certainly earn you much more than you could gain by sticking your money in a bank account. It really does not require much to make money from the stock market - just an understanding of a few simple concepts and the following of a few rules.

Written by the UK's most successful writer on investing, "Get Started in Shares" explains in very clear and simple terms what shares are, how they are traded and what to look out for as an owner of shares.

" "

" "This is a straight-talking guide to the mysteries of investing that assumes no prior knowledge and will build up your understanding of investing in a series of easy steps.

Interest Rate Models, Asset Allocation and Quantitative Techniques for Central Banks and Sovereign Wealth Funds (Hardcover): A.... Interest Rate Models, Asset Allocation and Quantitative Techniques for Central Banks and Sovereign Wealth Funds (Hardcover)
A. Berkelaar, J. Coche, K. Nyholm
R2,687 Discovery Miles 26 870 Ships in 18 - 22 working days

"This edited volume contains essential readings for financial analysts and market practitioners working at Central Banks and Sovereign Wealth Funds. It presents the reader with state-of-the-art methods that are directly implementable, and industry 'best-practices' as followed by leading institutions in their field"--Provided by publisher.

Gods at War - Shotgun Takeovers, Government by Deal, and the Private Equity Implosion (Paperback): Steven M. Davidoff Gods at War - Shotgun Takeovers, Government by Deal, and the Private Equity Implosion (Paperback)
Steven M. Davidoff
R425 Discovery Miles 4 250 Ships in 10 - 15 working days

An engaging exploration of modern-day deals and deal-making

"Gods at War" details the recent deals and events that have forever changed the world of billion-dollar deal-making. This book is a whirlwind tour of the players determining the destiny of corporate America, including the government, private equity, strategic buyers, hedge funds, and sovereign wealth funds.

It not only examines many of the game-changing takeover events that have occurred in the past years, but also puts them into context and exposes what is really going on behind the scenes on Wall Street. "Gods at War" completely covers the strategic issues that guide the modern-day deal, and since they unfold under the shadow of the law, it also focuses on the legal aspects of deal-making and takeovers.Each chapter unfolds through the lens of a recent transaction, from the battle between Yahoo and Microsoft to the United Rental/Cerberus disputeProvides in-depth explanations and analysis of the events and actors that have shaped this fast-moving fieldExamines the federal government's regulation by deal approach to saving the financial system and explains the government's biggest "deals," including its bail-outs of AIG, Bank of America, and Citigroup

Filled with in-depth insights that will enhance your understanding of this field, "Gods at War" offers an engaging look at deals and deal-makers in the context of recent historical events. It's a book for those who want to understand deals, takeovers, and the people and institutions who shape our world.

Innovation Scorecard - A Method to Measure Innovation in Agile Projects and Business Environments (Hardcover, 1st ed. 2021):... Innovation Scorecard - A Method to Measure Innovation in Agile Projects and Business Environments (Hardcover, 1st ed. 2021)
Ondrej Zizlavsky, Eddie Fisher
R2,211 Discovery Miles 22 110 Ships in 18 - 22 working days

The concept of innovation is not new. It relates closely to the concept of change. Both are inevitable in today's and tomorrow's business environments. Standing still and hoping for the best is no longer a viable option. Innovation, by itself, is not a panacea for positive accomplishments. Of paramount importance to any business is how successful any innovation has actually been. This book brings together the knowledge, learning and experience from the author's practical applications of a newly developed and implemented Innovation Scorecard methodology to close exactly this shortfall. Their 'one stop shop' methodology is a complete end to end approach on how to measure the success of any innovation, irrespective of whether this relates to projects or business as usual work environments. This landmark methodology will provide the reader with an applied proof of concept across a range of business applications and a complete end to end process how to measure success including templates and worked examples. The book offers a starter-pack with suggested performance metrics to get the reader on the road to measuring the success of innovation and to encourage readers to develop how they view and feel about measuring the success of innovation. Furthermore, the book provides the reader with everything they need to know, ranging from a simple to follow user-friendly process to the application of suggested performance metrics and how to apply these in any business work environment, which is a requisite for creating a working environment within the reader's organisation where innovation and forward-thinking are both encouraged and supported.

Penny Stock Investing & Algorithmic Trading - 2-in-1 Compilation Generate Profits from Trading Penny Stocks & Financial Machine... Penny Stock Investing & Algorithmic Trading - 2-in-1 Compilation Generate Profits from Trading Penny Stocks & Financial Machine Learning With Minimal Risk and Without Technical Jargon (Hardcover)
Investors Press
R654 Discovery Miles 6 540 Ships in 10 - 15 working days
Climate Trading - Development of Greenhouse Gas Markets (Hardcover, 2005 ed.): D. Stowell Climate Trading - Development of Greenhouse Gas Markets (Hardcover, 2005 ed.)
D. Stowell
R4,025 Discovery Miles 40 250 Ships in 18 - 22 working days

Climate Trading covers issues related to greenhouse gas emissions trading markets, including the events that lead up to the adoption of the Kyoto protocol, the development of the market-based mechanisms under the Protocol, and the emerging domestic and international emissions trading and carbon credits markets. The book provides a comprehensive and detailed overview of the complex and evolving issues surrounding these markets. As governments begin the process of implementation of domestic regulation in order to meet international requirements, it will be crucial for capital markets practitioners to understand the implications and options associated with emissions trading.

Risk And Asset Allocation (Hardcover, 1st ed. 2005. Corr. 3rd printing 2007): Attilio Meucci Risk And Asset Allocation (Hardcover, 1st ed. 2005. Corr. 3rd printing 2007)
Attilio Meucci
R3,196 Discovery Miles 31 960 Ships in 18 - 22 working days

This encyclopedic, detailed exposition spans all the steps of one-period allocation from the foundations to the most advanced developments.

Multivariate estimation methods are analyzed in depth, including non-parametric, maximum-likelihood under non-normal hypotheses, shrinkage, robust, and very general Bayesian techniques. Evaluation methods such as stochastic dominance, expected utility, value at risk and coherent measures are thoroughly discussed in a unified setting and applied in a variety of contexts, including prospect theory, total return and benchmark allocation.

Portfolio optimization is presented with emphasis on estimation risk, which is tackled by means of Bayesian, resampling and robust optimization techniques.

All the statistical and mathematical tools, such as copulas, location-dispersion ellipsoids, matrix-variate distributions, cone programming, are introduced from the basics. Comprehension is supported by a large number of figures and examples, as well as real trading and asset management case studies.

At symmys.com the reader will find freely downloadable complementary materials: the Exercise Book; a set of thoroughly documented MATLAB(r) applications; and the Technical Appendices with all the proofs. More materials and complete reviews can also be found at symmys.com.

Stop and Make Money - How To Profit in the Stock Market Using Volume and Stop Orders +CD (Hardcover): RW Arms Stop and Make Money - How To Profit in the Stock Market Using Volume and Stop Orders +CD (Hardcover)
RW Arms
R1,618 R1,321 Discovery Miles 13 210 Save R297 (18%) Ships in 18 - 22 working days

Richard Arms is one of the world's most respected stock market technicians. His expertise in this field is unparalleled, and now, with "Stop and Make Money, " he reveals how to profit from short-term price movements in the stock market--whether you're buying or selling short--by accurately interpreting price/volume information and effectively employing stop orders to enter and exit positions. With this book as your guide, you'll quickly discover how to anticipate short-term stock market moves and improve your overall trading activities.

Increasing Shareholder Value - Distribution Policy, A Corporate Finance Challenge (Hardcover, 2001 ed.): Harold Bierman Jr Increasing Shareholder Value - Distribution Policy, A Corporate Finance Challenge (Hardcover, 2001 ed.)
Harold Bierman Jr
R2,735 Discovery Miles 27 350 Ships in 18 - 22 working days

Corporations earn incomes and amass wealth. There are many books offering advice how to increase the profitability of corporations by achieving excellence in operations and choosing the correct strategic path. Increasing Shareholder Value: Distribution Policy, A Corporate Finance Challenge is concerned with how the corporation should reward its shareholders after the incomes are earned. Investment decisions, capital structure, and dividend policy must be coordinated so that the well being of the firm's stockholders is considered in the planning process. The corporate planners should realize that the individual investors are also making plans, and the corporation can assist this planning process by making its own financial plans and strategies well known.

Modeling Fixed Income Securities and Interest Rate Options (Paperback, 3rd edition): Robert Jarrow Modeling Fixed Income Securities and Interest Rate Options (Paperback, 3rd edition)
Robert Jarrow
R1,432 Discovery Miles 14 320 Ships in 9 - 17 working days

Modeling Fixed Income Securities and Interest Rate Options, Third Edition presents the basics of fixed-income securities in a way that, unlike competitive texts, requires a minimum of prerequisites. While other books focus heavily on institutional details of the bond market, all of which could easily be learned "on the job," the third edition of this classic textbook is more focused with presenting a coherent theoretical framework for understanding all basic models. The author's unified approach-the Heath Jarrow Morton model-under which all other models are presented as special cases, enhances understanding of the material. The author's pricing model is widely used in today's securities industry. This new edition offers many updates to align with advances in the research and requires a minimum of prerequisites while presenting the basics of fixed-income securities. Highlights of the Third Edition Chapters 1-16 completely updated to align with advances in research Thoroughly eliminates out-of-date material while advancing the presentation Includes an ample amount of exercises and examples throughout the text which illustrate key concepts .

Interest Rate Modeling. Volume 1 - Foundations and Vanilla Models (Hardcover): Leif B.G. Andersen, Vladimir V. Piterbarg Interest Rate Modeling. Volume 1 - Foundations and Vanilla Models (Hardcover)
Leif B.G. Andersen, Vladimir V. Piterbarg
R2,646 Discovery Miles 26 460 Ships in 10 - 15 working days

The three volumes of Interest Rate Modeling present a comprehensive and up-to-date treatment of techniques and models used in the pricing and risk management of fixed income securities. Written by two leading practitioners and seasoned industry veterans, this unique series combines finance theory, numerical methods, and approximation techniques to provide the reader with an integrated approach to the process of designing and implementing industrial-strength models for fixed income security valuation and hedging. Aiming to bridge the gap between advanced theoretical models and real-life trading applications, the pragmatic, yet rigorous, approach taken in this book will appeal to students, academics, and professionals working in quantitative finance. Volume I provides the theoretical and computational foundations for the series, emphasizing the construction of efficient grid- and simulation-based methods for contingent claims pricing. The second part of Volume I is dedicated to local-stochastic volatility modeling and to the construction of vanilla models for individual swap and Libor rates. Although the focus is eventually turned toward fixed income securities, much of the material in this volume applies to generic financial markets and will be of interest to anybody working in the general area of asset pricing.

Maverick Real Estate Investing (Hardcover): Steve Bergsman Maverick Real Estate Investing (Hardcover)
Steve Bergsman
R645 Discovery Miles 6 450 Ships in 10 - 15 working days

The Ultimate Guide to Buying and Selling Property Like the Experts
How do the world's most successful developers--from Donald Trump to Sam Zell--make the most of every real estate transaction? The answers are found throughout Maverick Real Estate Investing. In this one-of-a-kind book, you'll learn the secrets to making a good deal, using other people's money, establishing cash flow targets, finding the best locations, getting top legal and tax counsel, overcoming negative responses, selling at the right time, and much more. It's must reading for every aspiring real estate titan, and will give you the tools necessary to make every deal a profitable one.
"Steve Bergsman's profiles of some of the most successful investors of our time give an illustrative and illuminating insight into how the best in the business have consistently managed their risk . . . and raised their returns. If you want to make it in the competitive world of real estate investing, read this book "
--Dale Anne Reiss, Global and Americas Director of Real Estate, Hospitality, and Construction Services, Ernst & Young
"For the novice--and even the experienced--investor in real estate, Steve Bergsman's book contains lots of worthwhile ideas. Better still, it clearly explains how to implement them. Easy to read and insightful, it's one of the better how-to investment guides around."
--Richard Rescigno, Managing Editor, Barron's
"I have been reading Steve Bergsman's insightful real estate reporting and commentary for over a decade. He is one of the best real estate writers in America, as evidenced by his captivating analysis in Maverick Real Estate Investing, where he melds personalities and investing principles into a very good read."
--Jonathan L. Kempner, President and Chief Executive Officer Mortgage Bankers Association

Pricing Models of Volatility Products and Exotic Variance Derivatives (Hardcover): Yue Kuen Kwok, Wendong Zheng Pricing Models of Volatility Products and Exotic Variance Derivatives (Hardcover)
Yue Kuen Kwok, Wendong Zheng
R3,232 Discovery Miles 32 320 Ships in 10 - 15 working days

Features Useful for practitioners and quants in the financial industry who need to make choices between pricing models of variance derivatives. Fabulous resource for researchers interested in pricing and hedging issues of variance derivatives and VIX products. Could be used as a textbook in a topic course on pricing variance derivatives at universities.

Buffett and Beyond - Uncovering the Secret Ratio for Superior Stock Selection + Website (Hardcover, 2nd Edition): Joseph... Buffett and Beyond - Uncovering the Secret Ratio for Superior Stock Selection + Website (Hardcover, 2nd Edition)
Joseph Belmonte
R654 R549 Discovery Miles 5 490 Save R105 (16%) Ships in 10 - 15 working days

Construct a portfolio that is sure to outperform market averages Warren Buffett had it right all along. Now it's your turn to learn how to construct a portfolio that is sure to outperform the market averages, as well as almost every professional money manager in the world. Warren Buffett's method of predictability can determine a future target price, which in turn determines his all-important purchase price. However, Buffett doesn't draw conclusions of his predictability method relative to the future total returns of portfolios. That's where Buffett and Beyond comes in, taking Buffett's method one giant step beyond, proving that if you select a portfolio of stocks using the predictability method in this book, you will outperform 96% of professional money managers over the long term. In addition to the information in the book, readers will have access to a password-protected website that includes tutorial videos, PowerPoint slides, free trial access to a video newsletter, and a trial subscription to the author's computer program, which follows the research presented in the book. * Explains Clean Surplus Accounting (CSA) to determine Return on Owners' Equity (ROE) * Uses CSA to determine ROE in a unique way to verify Buffett's all-important purchase price * Draws conclusions between Clean Surplus Return on Equity and future total returns * Shows that every portfolio selected from the S&P 500 index with above-average Clean Surplus ROEs outperformed the S&P average during the test periods from 1987 to the present If you're an investor, this book will impact your financial life forever.

The Governance of Credit Rating Agencies - Regulatory Regimes and Liability Issues (Hardcover): Andrea Miglionico The Governance of Credit Rating Agencies - Regulatory Regimes and Liability Issues (Hardcover)
Andrea Miglionico
R4,875 Discovery Miles 48 750 Ships in 10 - 15 working days

This book takes an interdisciplinary approach, linking the law and policy surrounding financial markets regulation in order to fill the gap in the analysis and understanding of the most salient issues related to the role of credit rating agencies (CRAs). Key features include: A critical appraisal of the ratings information system and the potential risks of disclosure failure Questioning how regulators can shape a proper responsibility for CRAs in the aftermath of the EU civil liability regime for rating agencies introduced by the CRA Regulation 2013 and the professional liability introduced by the US Dodd-Frank Act 2010 Assessment of CRAs' liability regimes in light of the recent developments in case law Analysis of the major weaknesses in legislative reforms adopted in the United States, the United Kingdom and the European Union, and suggestions for enhancing the current regulatory system of CRAs. The Governance of Credit Rating Agencies will be a valuable resource for those researching law and economic aspects of securities markets. Professionals in law firms with banking or financial services regulation practice, global rating firms, commercial banks, investment banks, international financial institutions and prudential regulatory agencies will also find this book an essential point of reference.

Money, Wealth & War (Hardcover, Revised Conclusion and Leverage Analysis ed.): Robert L Shuler Money, Wealth & War (Hardcover, Revised Conclusion and Leverage Analysis ed.)
Robert L Shuler
R1,112 R940 Discovery Miles 9 400 Save R172 (15%) Ships in 18 - 22 working days
The New Map - Energy, Climate, and the Clash of Nations (Paperback): Daniel Yergin The New Map - Energy, Climate, and the Clash of Nations (Paperback)
Daniel Yergin
R570 R366 Discovery Miles 3 660 Save R204 (36%) Ships in 10 - 15 working days

A Wall Street Journal besteller and a USA Today Best Book of 2020 Named Energy Writer of the Year for The New Map by the American Energy Society "A master class on how the world works." -NPR Pulitzer Prize-winning author and global energy expert, Daniel Yergin offers a revelatory new account of how energy revolutions, climate battles, and geopolitics are mapping our future The world is being shaken by the collision of energy, climate change, and the clashing power of nations in a time of global crisis. Out of this tumult is emerging a new map of energy and geopolitics. The "shale revolution" in oil and gas has transformed the American economy, ending the "era of shortage" but introducing a turbulent new era. Almost overnight, the United States has become the world's number one energy powerhouse. Yet concern about energy's role in climate change is challenging the global economy and way of life, accelerating a second energy revolution in the search for a low-carbon future. All of this has been made starker and more urgent by the coronavirus pandemic and the economic dark age that it has wrought. World politics is being upended, as a new cold war develops between the United States and China, and the rivalry grows more dangerous with Russia, which is pivoting east toward Beijing. Vladimir Putin and China's Xi Jinping are converging both on energy and on challenging American leadership, as China projects its power and influence in all directions. The South China Sea, claimed by China and the world's most critical trade route, could become the arena where the United States and China directly collide. The map of the Middle East, which was laid down after World War I, is being challenged by jihadists, revolutionary Iran, ethnic and religious clashes, and restive populations. But the region has also been shocked by the two recent oil price collapses--and by the very question of oil's future in the rest of this century. A master storyteller and global energy expert, Daniel Yergin takes the reader on an utterly riveting and timely journey across the world's new map. He illuminates the great energy and geopolitical questions in an era of rising political turbulence and points to the profound challenges that lie ahead.

Private Equity - Opportunities and Risks (Hardcover): H. Kent Baker, Greg Filbeck, Halil Kiymaz Private Equity - Opportunities and Risks (Hardcover)
H. Kent Baker, Greg Filbeck, Halil Kiymaz
R3,894 Discovery Miles 38 940 Ships in 10 - 15 working days

During the past few decades, private equity (PE) has attracted considerable attention from investors, practitioners, and academicians. In fact, a substantial literature on PE has emerged. PE offers benefits for institutional and private wealth management clients including diversification and enhancement of risk-adjusted returns. However, the lack of transparency, regulatory restrictions, and liquidity concerns that exist for some PE options limit their attractiveness for some investors. Private Equity: Opportunities and Risks offers a synthesis of the theoretical and empirical literature on PE in both emerging and developed markets. The book examines PE and provides important insights about topics such as major types of PE (venture capital, leveraged, buyouts, mezzanine capital, and distressed debt investments), how PE works, performance and measurement, uses and structure, and trends. Readers can gain an in-depth understanding about PE from academics and practitioners from around the world. Private Equity: Opportunities and Risks provides a fresh look at the intriguing yet complex subject of PE. A group of renowned experts take readers through the core topics and issues of PE, and also examine the latest trends and cutting-edge developments in the field. Additionally, discussion of research on PE permeates the book. The coverage extends from discussing basic concepts and their application to increasingly complex and real-world situations. Thus, this volume spans the gamut from theoretical to practical, while offering a useful balance of detailed and user-friendly coverage. This fresh and intriguing examination of PE is essential reading for anyone hoping to gain a better understanding of PE, from seasoned professionals to those aspiring to enter the demanding world of finance.

Commodity Option Pricing - A Practitioner's Guide (Hardcover): Ii Clark Commodity Option Pricing - A Practitioner's Guide (Hardcover)
Ii Clark
R1,778 Discovery Miles 17 780 Ships in 10 - 15 working days

Commodity Option Pricing: A Practitioner s Guide covers commodity option pricing for quantitative analysts, traders or structurers in banks, hedge funds and commodity trading companies. Based on the author s industry experience with commodity derivatives, this book provides a thorough and mathematical introduction to the various market conventions and models used in commodity option pricing. It introduces the various derivative products typically traded for commodities and describes how these models can be calibrated and used for pricing and risk management. The book has been developed with input from traders and examples using real world data, together with relevant up to date academic research. The book includes practical descriptions of market conventions and quote codes used in commodity markets alongside typical products seen in broker quotes and used in calibration. Also discussed are commodity models and their mathematical derivation and volatility surface modelling for traded commodity derivatives. Gold, silver and other precious metals are addressed, including gold forward and gold lease rates, as well as copper, aluminium and other base metals, crude oil and natural gas, refined energy and electricity. There are also sections on the products encountered in commodities such as crack spread and spark spread options and alternative commodities such as carbon emissions, weather derivatives, bandwidth and telecommunications trading, plastics and freight. Commodity Option Pricing is ideal for anyone working in commodities or aiming to make the transition into the area, as well as academics needing to familiarize themselves with the industry conventions of the commodity markets.

Cryptocurrency All-in-One For Dummies (Paperback): K Danial Cryptocurrency All-in-One For Dummies (Paperback)
K Danial
R914 Discovery Miles 9 140 Ships in 10 - 15 working days

Learn the skills to get in on the crypto craze.

The world of cryptocurrency includes some of the coolest technologies and most lucrative investments available today. And you can jump right into the middle of the action with Cryptocurrency All-in-One For Dummies, a collection of simple and straightforward resources that will get you up to speed on cryptocurrency investing and mining, blockchain, Bitcoin, and Ethereum.

Stop scouring a million different places on the web and settle in with this one-stop compilation of up-to-date and reliable info on what's been called the "21st century gold rush." So, whether you're just looking for some fundamental knowledge about how cryptocurrency works, or you're ready to put some money into the markets, you'll find what you need in one of the five specially curated resources included in this book.

Cryptocurrency All-in-One For Dummies will help you:

  • Gain an understanding of how cryptocurrency works and the blockchain technologies that power cryptocurrency
  • Find out if you're ready to invest in the cryptocurrency market and how to make smart decisions with your cash
  • Build a cryptocurrency mining rig out of optimized and specifically chosen computing hardware
  • Dive into the details of leading cryptocurrencies like Bitcoin and Ethereum

Perfect for anyone curious and excited about the potential that's been unlocked by the latest in cryptocurrency tech, this book will give you the foundation you need to become a savvy cryptocurrency consumer, investor, or miner before you know it.

Using Economic Indicators to Improve Investment Analysis 3e (Hardcover, 3rd Edition): EM Tainer Using Economic Indicators to Improve Investment Analysis 3e (Hardcover, 3rd Edition)
EM Tainer
R818 Discovery Miles 8 180 Ships in 10 - 15 working days

"A virtual bible of how economic indicators are constructed and used. Important tidbits of history are mixed with present-day nuances to explain why we should care about all the economic indicators."
?Allen Grommet, Senior Economist, Cambridge Consumer Credit Index

"This book is an indispensable resource for anyone that wants a practical understanding of the economy and how it is measured. The information is clear, concise, and will help investors at all levels leverage the vast amount of economic data available."
?Jesse Harriott, PhD, Vice President of Research, Monster Worldwide, Inc.

This updated guide to economic indicators -- what they are and what they really mean -- covers all major economic indicators, from GDP to the consumer price index. You'll not only learn what key economic measurements are and how to read and interpret them, you'll discover how to use them to make better, more-informed financial, trading, and investing decisions.

30-Day Stay - A Real Estate Investor's Guide to Mastering the Medium-Term Rental (Paperback): Zeona McIntyre, Sarah Weaver 30-Day Stay - A Real Estate Investor's Guide to Mastering the Medium-Term Rental (Paperback)
Zeona McIntyre, Sarah Weaver
R554 R509 Discovery Miles 5 090 Save R45 (8%) Ships in 18 - 22 working days
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