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Books > Money & Finance > Investment & securities

Securitization - Structuring and Investment Analysis +CD (Hardcover, New): A. Davidson Securitization - Structuring and Investment Analysis +CD (Hardcover, New)
A. Davidson
R3,707 R2,913 Discovery Miles 29 130 Save R794 (21%) Ships in 10 - 15 working days

"This book fills a very important gap in the mindset of the bond structurer and the investor. Often, the two disciplines approach their tasks ignorant of the perspectives of the other side. But successful structuring requires providing the best value to investors in order to compete, and investors who don’t fully understand structuring will not remain investors for long. Highly recommended!"
–Bennett W. Golub
Managing Director, BlackRock, Inc.

"An excellent primer on asset securitization, clearly written in plain English and with straightforward mathematical expressions. This book is suitable for both business school students and structured finance market practitioners."
–Joseph Hu, PhD
Managing Director, Structured Finance Ratings
Standard & Poor’s

"In their new work Securitization: Structuring and Investment Analysis, Andrew Davidson et al. reinforce their preeminence in the alchemy of mortgage securitization. Anyone involved in mortgages neglects Andy’s work at his peril."
–Richard T. Pratt
Chairman, Richard T. Pratt Associates
Former Chairman, Merrill Lynch Mortgage Corporation

"This book provides an insightful and accessible exploration of securitized real estate markets. As such, it provides a valuable service to those active and interested in these burgeoning markets. The authors have done a wonderful job of gracefully integrating a vast and important subject matter. Accordingly, this book also makes for an excellent textbook for those universities offering one or more courses in this rapidly growing field."
–Joseph L. Pagliari, Jr.
Kellogg School of Management
Northwestern University

Foreign Direct Investment in China (Hardcover, New): Philip D. Grub, Jian Hai Lin Foreign Direct Investment in China (Hardcover, New)
Philip D. Grub, Jian Hai Lin
R2,791 Discovery Miles 27 910 Ships in 10 - 15 working days

Written for international business managers and executives, this book offers a comprehensive and authoritative discussion of foreign direct investment in the People's Republic of China. The authors note at the outset that although the events of Tiananmen Square brought both trade and investment to a virtual standstill, new investment is now again flowing into China (but at a guarded pace). For those wishing to pursue the numerous opportunities that still exist, this volume offers a full analysis of the risks involved, a thorough treatment of the different forms of investment activities in China, complete coverage of China's investment policies and incentives, and specific case studies of foreign direct investment in China.

The authors begin by providing an overview of the Open Door Policy and China's economic and managerial systems. Next, they discuss special economic zones and open cities; investment policies, such as flexible foreign ownership and choice of investment location; new incentives after 1986; and investment motivations. The modes of foreign investment covered include equity joint ventures, contractual joint ventures, wholly foreign-owned enterprises, joint oil exploration, compensation, and trade. Separate chapters analyze foreign investment inflows, identify the organizations involved in foreign investment, describe investment negotiation and approval procedures, and provide a detailed example of a joint venture feasibility study. Three case studies and an evaluation of the outlook for future foreign investment in China complete the volume. Numerous explanatory tables and figures amplify points made in the text. Two appendixes provide a sample contract and articles of association for joint ventures in China and the regulations for development and opening of the Shanghai Pudong New Area. A third appendix lists the rules for the implementation of Chinese law on wholly foreign-owned enterprises in China.

The Economic and Financial Impacts of the COVID-19 Crisis Around the World - Expect the Unexpected (Paperback): Allen N.... The Economic and Financial Impacts of the COVID-19 Crisis Around the World - Expect the Unexpected (Paperback)
Allen N. Berger, Mustafa U. Karakaplan, Raluca A. Roman
R2,343 R2,129 Discovery Miles 21 290 Save R214 (9%) Ships in 12 - 19 working days

The Economic and Financial Impacts of the COVID-19 Crisis Around the World: Expect the Unexpected provides an informed, research-based in-depth understanding of the COVID-19 crisis, its impacts on households, nonfinancial firms, banks, and financial market participants, and the effectiveness of the reactions of governments and policymakers in the United States and around the world. It provides reflections and perspectives on the social costs and benefits of various policies undertaken and a toolkit of preventive measures to deal with crises beyond the COVID-19 crisis. Authors Allen N. Berger, Mustafa U. Karakaplan, and Raluca A. Roman apply their expertise to the research and data on the COVID-19 economic crisis as well as draw on their own rich research experience. They take a holistic approach that compares and contrasts this crisis with other economic and financial crises and assesses economic and financial behavior and government policies in the booms before crises and the aftermaths following them, as well as the crises themselves. They do all this with a keen eye on “Expecting the Unexpected” future crises, and policies that might anticipate them and provide better outcomes for society.

Financial Times Guide to Investing in Funds - How to Select Investments, Assess Managers and Protect Your Wealth (Paperback):... Financial Times Guide to Investing in Funds - How to Select Investments, Assess Managers and Protect Your Wealth (Paperback)
Jerome De Lavenere Lussan 1
R1,033 R979 Discovery Miles 9 790 Save R54 (5%) Ships in 12 - 19 working days

Learn how to evaluate any investment fund before deciding where to place your money so you can ensure you generate more wealth and protect your cash. This valuable guide will help you make the right investment decisions by: - Explaining the procedures that should be followed before investing money anywhere. - Helping you cut through marketing language to get a real sense of how risky a company's strategy may be. - Showing you what questions to ask of investment fund managers so you're more comfortable investing in a company. - Showing you how to recognise the warning signs of risky investments. This book will also help you identify companies who consistently deliver high returns, thereby allowing you to generate more wealth by investing in successful, and stable, funds.

Hybrid Securities - Structuring, Pricing and Risk Assessment (Hardcover, 1st ed. 2016): Kamil Liberadzki, Marcin Liberadzki Hybrid Securities - Structuring, Pricing and Risk Assessment (Hardcover, 1st ed. 2016)
Kamil Liberadzki, Marcin Liberadzki
R3,482 Discovery Miles 34 820 Ships in 12 - 19 working days

Hybrid capital securities or 'hybrids' offer various benefits. They offer flexibility equity without shareholder dilution, provide protection to senior creditors, are a stable source of long-term funding for healthy companies, and help insurers and banks meet regulatory and rating agency capital requirements. Risks and features of hybrid securities are expressed in the credit spread of some relatively new financial instruments, but no structural fundamentals exist for to price hybrids precisely. This book proposes a model for the pricing of hybrids. It begins by explaining the concept of hybrids as well as their equity- and debt-like characteristics. Different types of hybrids are presented, including preference shares, convertible bonds, contingent convertibles (CoCos) and bail-in bonds. The authors then present analysis of regulatory regimes' impact on hybrids. They discuss the types of hybrid bonds that are contemplated in the Capital Requirements Regulation (CRR) and Banking Union mechanism. They then present an in-depth examination of hybrids pricing and risk assessment techniques. The book provides a comprehensive analysis from mathematical, legal and financial perspectives in order to look at relatively new financial instruments and address problems with the pricing models of hybrids which are as yet unsolved.

Lombard Street - A Description of the Money Market (Hardcover): Walter Bagehot Lombard Street - A Description of the Money Market (Hardcover)
Walter Bagehot
R1,037 Discovery Miles 10 370 Ships in 10 - 15 working days

Much of what we consider modern economics is the work of British journalist and economist Walter Bagehot, one of the first editors of the influential newspaper The Economist and an early proponent of business cycles. Here, he develops his theory of central banking, much of which continues to impact financial thinking today. First published in 1873, this replica of the updated 1910 edition explores the history of London's Lombard Street, from how it came to be the traditional home of banks and moneylenders to how the value of money was determined by the institutions there. Joint stocks, private banking, and the regulation of the banking reserve: Bagehot's discussion of these fundamental economic issues makes this a vital resource for anyone wishing to understand financial history. WALTER BAGEHOT (1826-1877) also wrote The English Constitution (1867), Physics and Politics (1872), and The Postulates of English Political Economy (1885), among other works.

An Investor's Guide to the Korean Capital Market (Hardcover, New): Il-Woon Kim, Tai-soon Yoon An Investor's Guide to the Korean Capital Market (Hardcover, New)
Il-Woon Kim, Tai-soon Yoon
R2,219 Discovery Miles 22 190 Ships in 10 - 15 working days

The long-closed stock market of South Korea opened its doors to foreign investors in January 1992. Due to the success of the Korean economy during the past two decades, the country provides many new and exciting opportunities for foreign investors. This is the first book published in the United States that provides a comprehensive coverage of the Korean securities market. In addition to the structure and trading system of the Korean securities market, the other topics covered range from the Korean economy to a performance analysis of the stock market during the past ten years.

The book starts with a discussion of the economic development of South Korea since 1962, which gives an overall picture of the history and current status of the Korean economy. A historical review of the Korean securities market is the next topic, followed by in-depth coverage of administration, laws and taxes, and the trading system of the Korean securities market. A financial analysis of the listed companies and descriptive comments on each industry are provided in chapters 9, 16, and 17. Some miscellaneous topics are covered in the later chapters. These topics include the over-the-counter market, securities financing, securities investment trust, and investment advisory business.

How to Hire (or Fire) Your Financial Advisor - Ten Simple Questions to Guide Decision Making (Hardcover): Cfs Ivan M Illan How to Hire (or Fire) Your Financial Advisor - Ten Simple Questions to Guide Decision Making (Hardcover)
Cfs Ivan M Illan
R584 R533 Discovery Miles 5 330 Save R51 (9%) Ships in 10 - 15 working days
Shasta County Copper Towns (Hardcover): Ron Jolliff Shasta County Copper Towns (Hardcover)
Ron Jolliff; As told to The Shasta Historical Society
R687 Discovery Miles 6 870 Ships in 12 - 19 working days
Real Estate Investing - Rental Property + Flipping Houses (2 Manuscripts): Includes Wholesaling Homes, Passive Income,... Real Estate Investing - Rental Property + Flipping Houses (2 Manuscripts): Includes Wholesaling Homes, Passive Income, Apartment Buying & Selling, Money Management, and Financial Freedom Strategies (Hardcover)
James Connor
R684 R617 Discovery Miles 6 170 Save R67 (10%) Ships in 10 - 15 working days
OTC Derivatives: Bilateral Trading and Central Clearing - An Introduction to Regulatory Policy, Market Impact and Systemic Risk... OTC Derivatives: Bilateral Trading and Central Clearing - An Introduction to Regulatory Policy, Market Impact and Systemic Risk (Hardcover)
David Murphy
R2,584 Discovery Miles 25 840 Ships in 12 - 19 working days

The OTC derivatives market has been hit by a massive wave of regulatory change. Capital and margin requirements have increased, trade reporting has been mandated, and execution mechanisms are evolving. Most of all, central clearing is being imposed for many transactions.
"OTC Derivatives: Bilateral Trading and Central Clearing" explains the new rules and the new models. It discusses the traditional bilateral market, then sets out how this will change due to mandatory central clearing and the new ways in which OTC derivatives will have to be traded, reported, and processed. The risks of OTC derivatives clearing houses are discussed in detail, as are the protections that CCPs have against these risks. The book also looks at alternatives to some of the policy decisions that have been made, showing the balance between costs and benefits of various different approaches to derivatives market stability. The book is both a detailed primer on OTC derivatives clearing and a powerful insight into post-crisis financial regulation.
Key features of the book include:
- A discussion of the capital rules for OTC derivatives counterparty credit risk in Basel III;
- An account of OTC derivatives trade processing in both bilateral and cleared markets;
- A detailed account of the risk profile of OTC derivatives CCPs;
- An explanation of the risks run in various collateral segregation models; and
- A comparison of various macro-prudential tools for enhancing the financial stability of OTC derivatives markets.

New Concepts in Investment and Technology: Volume IV (Hardcover): Perry Stinson New Concepts in Investment and Technology: Volume IV (Hardcover)
Perry Stinson
R3,435 R3,105 Discovery Miles 31 050 Save R330 (10%) Ships in 10 - 15 working days
Iceland's Secret - The Untold Story of the World's Biggest Con (Hardcover): Jared Bibler Iceland's Secret - The Untold Story of the World's Biggest Con (Hardcover)
Jared Bibler
R742 R651 Discovery Miles 6 510 Save R91 (12%) Ships in 9 - 17 working days

Born in Massachusetts, Jared Bibler relocated to Iceland in 2004 only to find himself in the middle of an unprecedented financial crisis a handful of years later. Personally wiped out and seeking to uncover the truth about a collapse that brought the pastoral country to its knees, he became the lead investigator into some of the largest financial crimes in the world. This work helped Iceland to famously become the only country to jail its bank CEOs in the wake of the 2008 crisis. But the real story behind that headline is far more complex - and sinister. A decade after the investigations, the story can be told at last and in full. The crisis, barely understood inside or outside of Iceland even today, is a cautionary tale for the world: an inside look at the high crimes that inevitably follow Wild West capitalism. With the next global financial meltdown just around the corner, this untold tale is as timely as ever.

Capital Markets and Investment Decision Making (Hardcover, 1st ed. 2019): Raj S. Dhankar Capital Markets and Investment Decision Making (Hardcover, 1st ed. 2019)
Raj S. Dhankar
R3,665 Discovery Miles 36 650 Ships in 10 - 15 working days

This book discusses capital markets and investment decision-making, focusing on the globalisation of the world economy. It presents empirically tested results from Indian and Southwest Asian stock markets and offers valuable insights into the working of Indian capital markets. The book is divided into four parts: the first part examines capital-market operations, particularly clearance and settlement processes, and stock market operations. The second part then addresses the functioning of global markets and investment decisions; more specifically it explores calendar anomalies, dependencies, overreaction effect, causality effect and stock returns volatility in South Asia, U.S. and global stock markets as a whole. Part three covers issues relating to capital structure, values of firm and investment strategies. Lastly, part four discusses emerging issues in finance like behavioral finance, Islamic finance, and international financial reporting standards. The book fills the gap in the existing finance literature and helps fund managers and individual investors make more accurate investment decisions.

Fear and Greed - Investment Risks and Opportunities in a Turbulent World (Hardcover): Nicolas Sarkis Fear and Greed - Investment Risks and Opportunities in a Turbulent World (Hardcover)
Nicolas Sarkis
R722 Discovery Miles 7 220 Ships in 12 - 19 working days

The early 21st century has been a period of extreme fear and greed in the world's financial markets. Vast sums of wealth have been lost by some, but also made by others. Faith in the investment industry is now at its lowest-ever ebb, and the crisis remains far from resolution. "Fear and Greed" aims to prepare investors for the financial challenges and opportunities of the next few years. Having successfully guided his firm's investors through the turmoil since 2007, leading investment manager Nicolas Sarkis draws upon the lessons of history in order to illuminate the way ahead. In particular, Sarkis explores the plight of equities in the developed world since the millennium and considers when they might finally recover, as well as the likely effects of reducing government indebtedness upon markets. He also offers his insights into the outlook for stocks in emerging nations, for gold and for the single European currency. In addition to the prospects for the leading asset classes, "Fear and Greed" examines some of the biggest issues confronting the financial world as a whole.Sarkis focuses on the behaviour of central banks, regulators, and financial wrongdoers, especially in relation to their contribution to the current crisis. In this lively and engaging book, Sarkis offers a clear vision of the coming years and plenty of inspiration for investors.

The Economics of the Global Stock Exchange Industry (Hardcover): J. Floreani, M. Polato The Economics of the Global Stock Exchange Industry (Hardcover)
J. Floreani, M. Polato
R3,531 Discovery Miles 35 310 Ships in 12 - 19 working days

Securities exchanges play a significant role in macroeconomics. They engage in the allocation process, which assures that savings are allocated to the most profitable investment opportunities. But what are the forces driving the supply side, namely, the services offered by exchanges? It is not just a matter of market microstructure and the rules governing the price discovery. Rather, it embraces a much wider perspective involving the balance of interests of multiple stakeholders, the competitive strategies of exchanges and other platform operators and the impact of regulation.
This book provides an economic analysis of the stock exchange industry. It draws on theories from micro- and industrial economics to provide a detailed analysis of the industry structure, the strategic behaviour of key participants and a methodological framework for assessing the performance of stock exchanges. It provides an overview of the factors driving the consolidation of the industry, and examines the implications of ongoing changes in the regulatory environment. It investigates the functioning of securities exchanges and other trading platforms as firms, assuming an industrial organization perspective and focusing on the competitive behaviour of exchanges, regulation and governance arrangements and their impact on the structure of the industry.

New Concepts in Investment and Technology: Volume III (Hardcover): Perry Stinson New Concepts in Investment and Technology: Volume III (Hardcover)
Perry Stinson
R3,437 R3,107 Discovery Miles 31 070 Save R330 (10%) Ships in 10 - 15 working days
Style Investing - Unique Insight into Equity Management (Hardcover): R. Bernstein Style Investing - Unique Insight into Equity Management (Hardcover)
R. Bernstein
R2,291 R1,825 Discovery Miles 18 250 Save R466 (20%) Ships in 10 - 15 working days

Headed by Bernstein, the quantitative equity and equity derivatives strategies group at Merrill Lynch is noted for their proprietary research on market segmentation and style investing. In this book, he highlights the macroeconomic, microeconomic and expectational factors that can affect equity market segment performance. The first section focuses on the definition and identification of market segments and reviews the major equity market segments that concern today's institutional investors. Part two analyzes the historical result of each segment of style strategy within the context of the economic and expectational framework. Lastly, it describes current issues and problems in equity markets and their implications for pension plan sponsors.

Swing Trading Strategies - Learn How To Trade, Predicting trends And Dominating The Market. Master Tips And Secrets And Improve... Swing Trading Strategies - Learn How To Trade, Predicting trends And Dominating The Market. Master Tips And Secrets And Improve your Knowledge In Trading Investing With Options, Futures And Stocks (Hardcover)
Mark Kratter
R755 R661 Discovery Miles 6 610 Save R94 (12%) Ships in 10 - 15 working days
Artificial Intelligence in Finance and Investing - Theory and Application in Portfolio Management (Hardcover, 2 Revised... Artificial Intelligence in Finance and Investing - Theory and Application in Portfolio Management (Hardcover, 2 Revised Edition)
Jae K. Lee
R1,861 R1,547 Discovery Miles 15 470 Save R314 (17%) Ships in 10 - 15 working days

In Artificial Intelligence in Finance and Investing, authors Robert Trippi and Jae Lee explain this fascinating new technology in terms that portfolio managers, institutional investors, investment analysis, and information systems professionals can understand. Using real-life examples and a practical approach, this rare and readable volume discusses the entire field of artificial intelligence of relevance to investing, so that readers can realize the benefits and evaluate the features of existing or proposed systems, and ultimately construct their own systems. Topics include using Expert Systems for Asset Allocation, Timing Decisions, Pattern Recognition, and Risk Assessment; overview of Popular Knowledge-Based Systems; construction of Synergistic Rule Bases for Securities Selection; incorporating the Markowitz Portfolio Optimization Model into Knowledge-Based Systems; Bayesian Theory and Fuzzy Logic System Components; Machine Learning in Portfolio Selection and Investment Timing, including Pattern-Based Learning and Fenetic Algorithms; and Neural Network-Based Systems. To illustrate the concepts presented in the book, the authors conclude with a valuable practice session and analysis of a typical knowledge-based system for investment management, K-FOLIO. For those who want to stay on the cutting edge of the "application" revolution, Artificial Intelligence in Finance and Investing offers a pragmatic introduction to the use of knowledge-based systems in securities selection and portfolio management.

New Concepts in Investment and Technology: Volume II (Hardcover): Perry Stinson New Concepts in Investment and Technology: Volume II (Hardcover)
Perry Stinson
R3,435 R3,105 Discovery Miles 31 050 Save R330 (10%) Ships in 10 - 15 working days
The New Era of The Booming 1920s And Its Aftermath - The Biography of Visionary Financial Writer Richard W. Schabacker... The New Era of The Booming 1920s And Its Aftermath - The Biography of Visionary Financial Writer Richard W. Schabacker (Hardcover)
George a Schade Jr
R978 R892 Discovery Miles 8 920 Save R86 (9%) Ships in 10 - 15 working days
The Truth Is in the Numbers (Hardcover): Doug Allen The Truth Is in the Numbers (Hardcover)
Doug Allen
R762 Discovery Miles 7 620 Ships in 10 - 15 working days
How I Made $2,000,000 in the Stock Market (Hardcover): Nicolas Darvas How I Made $2,000,000 in the Stock Market (Hardcover)
Nicolas Darvas
R532 Discovery Miles 5 320 Ships in 12 - 19 working days

How did a world-famous dancer with no knowledge of the stock market, or of finance in general, make 2 million dollars in the stock market in 18 months starting with only $10,000? Darvas is legendary, and with good reason. Find out why.

Postmodern Portfolio Theory - Navigating Abnormal Markets and Investor Behavior (Hardcover, 1st ed. 2016): James Ming Chen Postmodern Portfolio Theory - Navigating Abnormal Markets and Investor Behavior (Hardcover, 1st ed. 2016)
James Ming Chen
R4,294 Discovery Miles 42 940 Ships in 12 - 19 working days

This survey of portfolio theory, from its modern origins through more sophisticated, "postmodern" incarnations, evaluates portfolio risk according to the first four moments of any statistical distribution: mean, variance, skewness, and excess kurtosis. In pursuit of financial models that more accurately describe abnormal markets and investor psychology, this book bifurcates beta on either side of mean returns. It then evaluates this traditional risk measure according to its relative volatility and correlation components. After specifying a four-moment capital asset pricing model, this book devotes special attention to measures of market risk in global banking regulation. Despite the deficiencies of modern portfolio theory, contemporary finance continues to rest on mean-variance optimization and the two-moment capital asset pricing model. The term postmodern portfolio theory captures many of the advances in financial learning since the original articulation of modern portfolio theory. A comprehensive approach to financial risk management must address all aspects of portfolio theory, from the beautiful symmetries of modern portfolio theory to the disturbing behavioral insights and the vastly expanded mathematical arsenal of the postmodern critique. Mastery of postmodern portfolio theory's quantitative tools and behavioral insights holds the key to the efficient frontier of risk management.

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