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

Options Trading Crash Course - Master the Options Game with this Effective Guide to Investing. Dominate Advanced Strategies,... Options Trading Crash Course - Master the Options Game with this Effective Guide to Investing. Dominate Advanced Strategies, Make Money, Create Cashflow with Passive Income and Get Your Financial Freedom (Hardcover)
Mark Kratter
R944 R811 Discovery Miles 8 110 Save R133 (14%) Ships in 10 - 15 working days
Commodity Option Pricing - A Practitioner's Guide (Hardcover): Ii Clark Commodity Option Pricing - A Practitioner's Guide (Hardcover)
Ii Clark
R1,886 Discovery Miles 18 860 Ships in 12 - 19 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.

Foreign Direct Investment in Less Developed Countries - The Role of ICSID and MIGA (Hardcover, Illustrated Ed): James C. Baker Foreign Direct Investment in Less Developed Countries - The Role of ICSID and MIGA (Hardcover, Illustrated Ed)
James C. Baker
R2,778 Discovery Miles 27 780 Ships in 10 - 15 working days

The International Centre for Settlement of Investment Disputes (ICSID) and the Multilateral Investment Guarantee Agency (MIGA) are two of the more significant international agencies whose objective is to promote foreign direct investment in less developed countries (LDCs). This is the first detailed treatment of their establishment, the history of their operations, and an evaluation of these operations.

ICSID, established in 1966, facilitates the arbitration or conciliation of investment contract disputes between foreign investors from countries that are signatories of the ICSID Convention and host signatory states. MIGA, whose first year of operations was 1988, insures foreign investment against political risks. Drawing on cases, Baker shows how the functions of these two agencies have encouraged a significant amount of foreign investment in LDCs and how the operations of these two agencies continue to grow in importance. Scholars, professionals, and policy makers will find this to be the most comprehensive description available of these important agencies.

Property Investing All-In-One For Dummies (Paperback, Uk Edition): M Bien Property Investing All-In-One For Dummies (Paperback, Uk Edition)
M Bien 2
R628 Discovery Miles 6 280 Ships in 12 - 19 working days

Whether you are renting out part of your home, or investing in a property, this guide to the constantly changing market and its laws will prove to be invaluable. Whether you've inherited a home you now need to rent or you're aiming to become a property tycoon, this friendly guide is your road map to success.

The Complete Trading System - How to Develop a Mindset, Maximize Profitability, and Own Your Market Success (Hardcover): Casey... The Complete Trading System - How to Develop a Mindset, Maximize Profitability, and Own Your Market Success (Hardcover)
Casey Stubbs
R628 R579 Discovery Miles 5 790 Save R49 (8%) Ships in 12 - 19 working days

Raise your trading game by incorporating lessons from outside the financial markets In The Complete Trading System: How to Develop a Mindset, Maximize Profitability, and Own Your Market Success, veteran trading strategist Casey Stubbs delivers a comprehensive and holistic guide to making money in the financial markets. In the book, the author presents an insightful framework for focusing your entire lifestyle on the art of trading and for harmonizing the different components of your trading strategy. You’ll learn to set the foundations for successful trading and develop your mindset into one that’s capable of dominating the markets. You’ll also discover: A deep understanding of how markets move and what that says about what’s going on behind the scenes Leverage momentum to find accurate and powerful entries and exploit market flow and key levels to get an edge on bank traders Use candlestick and chart patterns to obtain confirmation and improve confidence in your trades An essential resource for market participants and day traders, The Complete Trading System is a singular and incisive roadmap to improving your risk-adjusted returns in the financial markets.

Fixed-Income Securities - Valuation, Risk Management And Portfolio Strategies (Paperback): L Martellini Fixed-Income Securities - Valuation, Risk Management And Portfolio Strategies (Paperback)
L Martellini
R1,499 Discovery Miles 14 990 Ships in 12 - 19 working days

This is the first comprehensive textbook for students studying fixed-income securities, and is ideally suited to MBA, MSc and final year undergraduate students in Finance and related topics. 

The text offers an accessible and detailed account of interest rates and risk management in bond markets. It develops insights into different bond portfolio strategies, and illustrates how various types of derivative securities can be used to shift the risks associated with investing in fixed-income securities. It also provides extensive coverage on all sectors of the bond market, and the techniques for valuing bonds. In addition, explanation is given of state-of-the-art techniques for bond portfolio management, including:

  • A description of numerous fixed-income assets and related securities, namely zero coupon government bonds, coupon bearing government bonds, corporate bonds, exchange-traded bond options, bonds with embedded options, floating rate notes, caps, floors and collars, swaptions, credit derivatives, mortgage-backed securities, etc.
  • The development of tools to analyse interest rate sensitivity and to value fixed- income securities, with an emphasis on active and passi ve bond management, and an overview of techniques used by mutual fund and also hedge fund managers.

With numerous worked examples covering the valuation, risk management and portfolio strategies of fixed income securities, and imaginative discussion of important topics such as deriving the zero yield curve, deriving credit spreads, and hedging interest rate risk, the text provides an accessible route into the complex worlds of fixed income securities. 

Supplementary materials for lecturers and students (including a syllabus, a course web page, PowerPoint slides, solutions to problems, and Excel illustrations) can be found at the following website: www.wiley.co.uk/martellini

"The authors have produced a work of the very highest quality.  As focused as it is comprehensive, this is a superb contribution to the literature..."
Moorad Choudhry, VP, Structured Finance Services, JPMorgan Chase Bank, Senior Fellow, Centre for Mathematical Trading and Finance, CASS Business School, London.

The End of Astronauts - Why Robots Are the Future of Exploration (Hardcover): Donald Goldsmith, Martin Rees The End of Astronauts - Why Robots Are the Future of Exploration (Hardcover)
Donald Goldsmith, Martin Rees
R765 R614 Discovery Miles 6 140 Save R151 (20%) Ships in 12 - 19 working days

A History Today Book of the Year A world-renowned astronomer and an esteemed science writer make the provocative argument for space exploration without astronauts. Human journeys into space fill us with wonder. But the thrill of space travel for astronauts comes at enormous expense and is fraught with peril. As our robot explorers grow more competent, governments and corporations must ask, does our desire to send astronauts to the Moon and Mars justify the cost and danger? Donald Goldsmith and Martin Rees believe that beyond low-Earth orbit, space exploration should proceed without humans. In The End of Astronauts, Goldsmith and Rees weigh the benefits and risks of human exploration across the solar system. In space humans require air, food, and water, along with protection from potentially deadly radiation and high-energy particles, at a cost of more than ten times that of robotic exploration. Meanwhile, automated explorers have demonstrated the ability to investigate planetary surfaces efficiently and effectively, operating autonomously or under direction from Earth. Although Goldsmith and Rees are alert to the limits of artificial intelligence, they know that our robots steadily improve, while our bodies do not. Today a robot cannot equal a geologist's expertise, but by the time we land a geologist on Mars, this advantage will diminish significantly. Decades of research and experience, together with interviews with scientific authorities and former astronauts, offer convincing arguments that robots represent the future of space exploration. The End of Astronauts also examines how spacefaring AI might be regulated as corporations race to privatize the stars. We may eventually decide that humans belong in space despite the dangers and expense, but their paths will follow routes set by robots.

Elevated Economics - How Conscious Consumers Will Fuel the Future of Business (Hardcover): Richard Steel Elevated Economics - How Conscious Consumers Will Fuel the Future of Business (Hardcover)
Richard Steel
R640 Discovery Miles 6 400 Ships in 12 - 19 working days

An essential leadership guide for engaging the modern, socially responsible consumer. Consumers and investors have elevated their game. They have innovated. And now, leaders must innovate with them or face the consequences. In this engaging and persuasive guide to a brave new world of conscious capitalism, business expert Richard Steel details the inevitability of change in our profits-focused, perpetual-growth capitalist model. Our world economy has become increasingly values-driven, and consumers have begun to do the one thing the capitalist engines of the last 150 years have always feared: care. And not just about price, place, product, promotion, and people. The new P of business-purpose-was born from a dramatically informed, connected, and imperilled human race. With an eye toward the future of corporate sustainability, Elevated Economics provides leaders with: * crucial information on the rise of Environmental, Social, and corporate Governance (ESG) * informative, firsthand interviews with CEOs of successful corporations who actively follow the ESG model * the increasingly viable opportunities for Socially Responsible Investing (SRI) Steele maintains that ESG is not simply a burgeoning trend, and leaders must get on board or risk extinction

How to Make a Living Trading Foreign Exchange - A Guaranteed Income for Life (Hardcover): C Smith How to Make a Living Trading Foreign Exchange - A Guaranteed Income for Life (Hardcover)
C Smith
R1,612 R1,280 Discovery Miles 12 800 Save R332 (21%) Ships in 12 - 19 working days

Solid Forex strategies for capturing profits in today's volatile markets

"How to Make a Living Trading Foreign Exchange" puts the world of Forex at your fingertips. Author Courtney Smith begins with an introduction to the Forex market-what it is and how it works. He then delves into six moneymaking techniques for trading Forex, including his unique Rejection Rule that doubles the profit of basic channel breakout systems. In addition to two specific methods for exiting positions at critical levels, Smith also discusses powerful risk management techniques and successful trading psychology strategies that will keep you one step ahead of the game.Reveals the secrets of the Forex market and how to create a lifetime of income trading itOffers advice on maximizing profits during the volatile swings that have increasingly become the normOther titles by Smith: "Option Strategies, Third Edition, Seasonal Charts For Futures Traders, Commodity Spreads, " and "Profits Through Seasonal Trading"

Make more from today's Forex market with "How to Make a Living Trading Foreign Exchange."

Collected Writings of W.D. Gann - Volume 2 (Hardcover): William D. Gann Collected Writings of W.D. Gann - Volume 2 (Hardcover)
William D. Gann
R5,066 Discovery Miles 50 660 Ships in 10 - 15 working days
Invest Your Way to Financial Freedom - A simple guide to everything you need to know (Paperback): Ben Carlson, Robin Powell Invest Your Way to Financial Freedom - A simple guide to everything you need to know (Paperback)
Ben Carlson, Robin Powell
R453 R410 Discovery Miles 4 100 Save R43 (9%) Ships in 9 - 17 working days

Whatever financial freedom means to you - living the life you want, not working to someone else's timetable, not worrying about money ever again, or some other dream - the way to get there is through investing. In this concise and accessible book, Ben Carlson and Robin Powell show you how to put yourself on the path to financial freedom through sensible saving and straightforward investing. This is not about getting rich quick. But it is about getting rich reliably. Building wealth through investing - with the long-term goal of financial freedom - requires discipline, sacrifice and time. But it is possible, and almost anyone can do it if armed with the right information. Invest Your Way to Financial Freedom shares all the steps you need to take to reach your goals. This includes clear and simple answers to the following questions: Why is saving important - and how much to save? Why is investing the best way to build wealth? What should investors expect from the stock market? How long does it really take to become a millionaire? Is it too late if you don't make an early start to saving and investing? After reading this book, you will know everything you need to know to achieve financial freedom!

The Commitments of Traders Bible - How To Profit from Insider Market Intelligence (Hardcover): S Briese The Commitments of Traders Bible - How To Profit from Insider Market Intelligence (Hardcover)
S Briese
R1,925 R1,507 Discovery Miles 15 070 Save R418 (22%) Ships in 12 - 19 working days

Regardless of your trading methods, and no matter what markets you're involved in, there is a Commitments of Traders (COT) report that you should be reviewing every week. Nobody understands this better than Stephen Briese, an industry-leading expert on COT data. And now, with "The Commitments of Traders Bible, " Briese reveals how to use the predictive power of COT data--and accurately interpret it--in order to analyze market movements and achieve investment success.

Theories of Change - Change Leadership Tools, Models and Applications for Investing in Sustainable Development (Hardcover, 1st... Theories of Change - Change Leadership Tools, Models and Applications for Investing in Sustainable Development (Hardcover, 1st ed. 2021)
Karen Wendt
R1,389 Discovery Miles 13 890 Ships in 12 - 19 working days

Today, it has become strikingly obvious that companies no longer operate in an environment where only risk return and volatility describe the business environment. The business has to deal with volatility plus uncertainty, plus complexity and ambiguity (VUCA): that requires new qualities, competencies, frameworks; and it demands a new mind set to deal with the VUCA environment in investment, funding and financing. This book builds on a new megatrend beyond resilience, called anti-fragility. We have had the black swan (financial crisis) and the red swan (COVID) - the Bank for International Settlement is preparing for regenerative capitalism, block chain based analysis of financial streams and is aiming to prevent the "Green Swan" - the climate crisis to lead to the next lockdown. In the light of the UN 17 Sustainable Development Goals, what is required, is Theories of Change. Written by experts working in the fields of sustainable finance, impact investing, development finance, carbon divesting, innovation, scaling finance, impact entrepreneurship, social stock exchanges, alternative currencies, Initial Coin Offerings (ICOs), ledger technologies, civil action, co-creation, impact management, deep learning and transformation leadership, the book begins by analysing existing Theories of Change frameworks from various disciplines and creating a new integrated model - the meta-framework. In turn, it presents insights on creating and using Theories of Change to redirect investment capital to sustainable companies while implementing the Sustainable Development Goals and the Paris Climate Agreement. Further, it discusses the perspective of planetary boundaries as defined by the Stockholm Resilience Institute, and investigates various aspects of systems, organizations, entrepreneurship, investment and finance that are closely tied to the mission ingrained in the Theory of Change. As it demonstrates, solutions that ensure the parity of profit, people and planet through dynamic change can effectively address the needs of entrepreneurs and business. By exploring these concepts and their application, the book helps create and shape new markets and opportunities.

Blockchain Competitive Advantage - Whether you are an entrepreneur, investor, or established company, learn how to win the... Blockchain Competitive Advantage - Whether you are an entrepreneur, investor, or established company, learn how to win the battle for blockchain competitive advantage. (Hardcover)
Alison Davis, Matthew C. Le Merle
R1,038 Discovery Miles 10 380 Ships in 12 - 19 working days
Ethics in Investment Banking (Hardcover): John N. Reynolds, Edmund Newell Ethics in Investment Banking (Hardcover)
John N. Reynolds, Edmund Newell
R1,521 Discovery Miles 15 210 Ships in 10 - 15 working days

"The financial crisis focused unprecedented attention on ethics in investment banking. This book develops an ethical framework to assess and manage investment banking ethics and provides a guide to high profile concerns as well as day to day ethical challenges"--

The Long and the Short of It - A guide to finance and investment for normally intelligent people who aren't in the... The Long and the Short of It - A guide to finance and investment for normally intelligent people who aren't in the industry (Paperback, Main)
John Kay 2
R352 Discovery Miles 3 520 Ships in 12 - 19 working days

This book provides a guide to the complexities of modern finance. It describes the basics of investment and the sophisticated innovations of the modern financial system. It explains how the follies of finance have threatened the stability of the world economy, and describes an environment that is complex and sophisticated, but greedy, cynical and self-interested. This book explains how to put your finances in the only hands you can confidently trust - your own. Readers will learn everything they need to be their own investment manager. They will recognise their investment options, the institutions that try to sell them, and how to distinguish between fact and fiction in what companies say. They will discover the principles of sound investment and the research that supports these principles. Crucially, they will learn a practical investment strategy and how to implement it. Leading economist and hugely successful investor John Kay uses his academic credentials and practical experience to lay out the key principles of investment with characteristic clarity and dry humour. This is the only book about finance and investment anyone needs, and the one book they must have.

Financial Engineering - A handbook for managing the risk-reward relationship (Hardcover): Charles Errington Financial Engineering - A handbook for managing the risk-reward relationship (Hardcover)
Charles Errington
R4,367 Discovery Miles 43 670 Ships in 10 - 15 working days

Financial Engineering is a text with a methodological thread, making it appropriate as a reference text. Risk management and measure and control of volatility is a major theme, but broader financial issues are also covered to provide the reader with a conceptual framework to manipulate and evaluate financial instruments. Errington's text analyses the spectrum of financial engineering including explanations of financial axioms and mathematical techniques with a summary of the instruments and worked examples of how they operate. As well as risk management, arbitrageurs are also catered for, to show how instruments can be valued, deconstructed and repackaged.

Common Stocks and Uncommon Profits and Other Writings (Paperback): Philip A. Fisher Common Stocks and Uncommon Profits and Other Writings (Paperback)
Philip A. Fisher; Introduction by Kenneth L Fisher 3
R661 R533 Discovery Miles 5 330 Save R128 (19%) Ships in 12 - 19 working days

Critical Praise for Common Stocks and Uncommon Profits and Other Writings

"You will find lots of jewels in these pages that may do as much for you as they have for me."
–– Kenneth L. Fisher

"I sought out Phil Fisher after reading his Common Stocks and Uncommon Profits and Other Writings. When I met him, I was as impressed by the man as by his ideas. A thorough understanding of the business, obtained by using Phil’s techniques . . . enables one to make intelligent investment commitments."
–– Warren Buffett

"Little known to the public, rarely interviewed, and accepting few clients, Philip Fisher is nevertheless read and studied by most thoughtful investment professionals . . . everyone will profit from pondering–as Warren Buffett has done–the investment principles Fisher espouses."
–– James W. Michaels
former editor, Forbes

"My own copy [of Common Stocks and Uncommon Profits and Other Writings] has underlinings and marginal thoughts throughout."
–– John Train
author of Dance of the Money Bees

Updated features include a new Preface and Introduction from Kenneth L. Fisher

Widely respected and admired, Philip Fisher is among the most influential investors of all time. His investment philosophies, introduced almost forty years ago, are not only studied and applied by today’s finance professionals, but are also regarded by many as gospel. Common Stocks and Uncommon Profits and Other Writings reveals these timeless philosophies.

Privatization and Foreign Investments in Eastern Europe (Hardcover, New): Iliana Zloch-Christy Privatization and Foreign Investments in Eastern Europe (Hardcover, New)
Iliana Zloch-Christy
R1,966 Discovery Miles 19 660 Ships in 10 - 15 working days

The post-communist European countries have faced enormous political and economic problems in attempting the transformation to a market oriented economy through two of the most important channels influencing this process--privatization and foreign investments. Focusing on Russia, the Czech Republic, Hungary, Bulgaria, and Poland, the authors examine the trends toward privatization and the problems facing the countries economic managers and foreign investors. They explore what can be done to increase foreign direct and equity investment given the political risks involved in the economic transformation. Scholars and students of international economics, international trade, Russian and Eastern European studies, and government and international agencies should find this study on the relationship between privatization and foreign investment informative and useful.

International Investment Law - Text, Cases and Materials, Third Edition (Paperback, 3rd edition): Krista Nadakavukaren Schefer International Investment Law - Text, Cases and Materials, Third Edition (Paperback, 3rd edition)
Krista Nadakavukaren Schefer
R1,766 Discovery Miles 17 660 Ships in 12 - 19 working days

This up-to-date and revised third edition offers a clear and comprehensive overview of the main principles, institutions and procedures related to foreign direct investment and the resolution of disputes. Suitable for both upper-level undergraduate and postgraduate courses on international investment protection, the book is firmly grounded within the wider public international law context. Key Features of the third edition: Incorporates extracts from and analysis of key recent decisions, including David Aven et al v. Costa Rica, Greentech Energy Systems et al v. Italy and Venezuela v. OI European Group Coverage is brought up to date with new discussion of revised investment treaty texts and new court system proposals Balanced and neutral engagement with both normative standards and critiques of the system encourages students to draw their own conclusions Provides concise descriptions of the legal principles followed by extracts from both classic and contemporary cases to enhance understanding of core concepts Contains detailed discussion notes and all new 'Questions to an Expert' to enable further classroom discussion and facilitate critical reflection on complex topics. The concise nature of the book and accessible writing style make this an ideal text for non-specialists and for single semester courses on international investment protection.

Investment Guarantees - Modeling & Risk Management for Equity-Linked Life Insurance (Hardcover): M. Hardy Investment Guarantees - Modeling & Risk Management for Equity-Linked Life Insurance (Hardcover)
M. Hardy
R3,657 R2,852 Discovery Miles 28 520 Save R805 (22%) Ships in 10 - 15 working days

Praise for InvestmentGuarantees

"In addition to being a valuable and innovative addition to the literature on risk management of equity-linked insurance, this book provides a uniquely clear demonstration of using different measures in a very practical context. A great way of showing actuaries how to ‘mind their Ps and Qs’!"
—Boris Brizeli
Principal and Chief Operations Officer
GE Insource Limited

"This is an extremely well written and comprehensive book which will be useful for both practitioners and graduate students. It provides a unique synthesis of techniques and tools in econometrics, financial engineering, and simulation applied to questions of fundamental importance in insurance."
—Dr. Andrew Cairns
Reader in Financial and Actuarial Mathematics
Heriot-Watt University

"Investment Guarantees will become the reference book of choice for both actuaries and non-actuaries alike working in the field of guarantees associated with equity-linked products. The book provides an excellent balance between theory and practice in the course of contrasting actuarial modeling and option pricing theory as applied to guarantees on equity-linked products."
—Larry M. Gorski
Life Actuary
Illinois Department of Insurance

"Professor Hardy strikes the right balance between theory development and practical demonstration, offering insights to both novices and experienced practitioners. Her comprehensive treatment of risk modeling of investment guarantees will benefit actuaries and financial engineers alike, allowing each to understand better the nature and management of equity exposure. Exceptionally readable, Investment Guarantees is an invaluable resource for insurance and financial professionals working with equity-linked insurance and annuity products."
—Geoffrey H. Hancock
Principal
Mercer Risk, Finance & Insurance Consulting

Asset Management: Tools And Issues (Hardcover): Frank J. Fabozzi, Francesco A. Fabozzi, Marcos Lopez de Prado, Stoyan V.... Asset Management: Tools And Issues (Hardcover)
Frank J. Fabozzi, Francesco A. Fabozzi, Marcos Lopez de Prado, Stoyan V. Stoyanov
R3,893 Discovery Miles 38 930 Ships in 10 - 15 working days

Long gone are the times when investors could make decisions based on intuition. Modern asset management draws on a wide-range of fields beyond financial theory: economics, financial accounting, econometrics/statistics, management science, operations research (optimization and Monte Carlo simulation), and more recently, data science (Big Data, machine learning, and artificial intelligence). The challenge in writing an institutional asset management book is that when tools from these different fields are applied in an investment strategy or an analytical framework for valuing securities, it is assumed that the reader is familiar with the fundamentals of these fields. Attempting to explain strategies and analytical concepts while also providing a primer on the tools from other fields is not the most effective way of describing the asset management process. Moreover, while an increasing number of investment models have been proposed in the asset management literature, there are challenges and issues in implementing these models. This book provides a description of the tools used in asset management as well as a more in-depth explanation of specialized topics and issues covered in the companion book, Fundamentals of Institutional Asset Management. The topics covered include the asset management business and its challenges, the basics of financial accounting, securitization technology, analytical tools (financial econometrics, Monte Carlo simulation, optimization models, and machine learning), alternative risk measures for asset allocation, securities finance, implementing quantitative research, quantitative equity strategies, transaction costs, multifactor models applied to equity and bond portfolio management, and backtesting methodologies. This pedagogic approach exposes the reader to the set of interdisciplinary tools that modern asset managers require in order to extract profits from data and processes.

Trade Like Warren Buffett (Hardcover): J Altucher Trade Like Warren Buffett (Hardcover)
J Altucher
R1,005 R938 Discovery Miles 9 380 Save R67 (7%) Ships in 12 - 19 working days

"Trading is notoriously tough. But Altucher's new book adds a noteworthy addition to the library on Warren Buffett. He shows a lot of Buffett that isn't readily available in the existing common literature. Definitely required reading for any serious Buffett buff."
--Kenneth L. Fisher, Forbes' "Portfolio Strategy" Columnist Founder and CEO, Fisher Investments

"Finally, someone blows apart the myth that Warren Buffett is a buy-and-hold investor. Altucher has given us an insightful and well-written commentary on how Buffett has amassed his track record, and what we can do to emulate him. He details the trade-by-trade examples. This is a must read for anyone wanting to learn about how the Master Investor works."
--John Mauldin, author, Bull's Eye Investing editor of Thoughts from the Frontline (www.2000wave.com)

While Warren Buffett is considered the "world's greatest value investor," there's another side to Buffett that is rarely talked about. Although Buffett has gained recognition for his value investing approach to the markets, the fact is that nobody--over the past fifty years--has traded and invested with a more diverse group of strategies than Buffett.

Trade Like Warren Buffett challenges the current coverage of this great investor by including details of all of Buffett's investing and trading methods, including mean reversion, commodities, bonds, arbitrage, market timing, funds, as well as Graham-Dodd. To augment the discussion of each strategy, Trade Like Warren Buffett also includes interviews with leading financial professionals, who reveal in detail how they've successfully used the same techniques.

There is no one way to sum up Warren Buffett's investmentstyle. But if you're interested in boosting the performance of your portfolio, Trade Like Warren Buffett can show you how.

Bonds Without Borders - A History of the Eurobond Market (Hardcover): C O'malley Bonds Without Borders - A History of the Eurobond Market (Hardcover)
C O'malley
R1,301 Discovery Miles 13 010 Ships in 12 - 19 working days

This book tells the extraordinary story of the growth of the world's largest international market for capital, for sovereign states, international agencies, financial institutions and companies around the world. The book reviews the evolution of international debt financing from medieval Italian City States to the financing of the First World War. Its core narrative charts the journey from the highly regulated national securities markets after the Second World War to the rise and development of a market, termed the 'Eurobond' market that targeted the international investor regardless of their domicile, market place or any exchange and created today's global cross-border markets. The book takes the reader through the endless challenges that were faced and overcome and the innovative products developed to meet the needs of both borrowers and investors. All this taking place in the context of a constantly changing, often volatile, economic and political environment; from post-war Keynesian economic policies, through oil crises, to deregulation and the monetarist philosophies of the Reagan and Thatcher eras, to the current global financial crisis with its arguments of deficit reduction versus growth.

The Oxford Handbook of Venture Capital (Hardcover): Douglas Cumming The Oxford Handbook of Venture Capital (Hardcover)
Douglas Cumming
R6,232 Discovery Miles 62 320 Ships in 12 - 19 working days

Venture capital (VC) refers to investments provided to early-stage, innovative, and high growth start-up companies. A common characteristic of all venture capital investments is that investee companies do not have cash flows to pay interest on debt or dividends on equity. Rather, investments are made with a view towards capital gain on exit. The most sought after exit routes are an initial public offering (IPO), where a company lists on a stock exchange for the first time, and an acquisition exit (trade sale), where the company is sold in entirety to another company. However, VCs often exit their investments by secondary sales, wherein the entrepreneur retains his or her share but the VC sells to another company or investor buybacks, where the entrepreneur repurchases the VCs interest and write-offs (liquidations).
The Oxford Handbook of Venture Capital provides a comprehensive picture of all the issues dealing with the structure, governance, and performance of venture capital from a global perspective. The handbook comprises contributions from 55 authors currently based in 12 different countries.

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