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Books > Money & Finance > Investment & securities

Diamonds in the Dust - Consistent Compounding for Extraordinary Wealth Creation | Latest must read book by the bestselling... Diamonds in the Dust - Consistent Compounding for Extraordinary Wealth Creation | Latest must read book by the bestselling author of Coffee Can Investing | Self help, Investment Books by Penguin (Hardcover)
Saurabh Mukherjea, Rakshit Ranjan, Salil Desai
R506 R477 Discovery Miles 4 770 Save R29 (6%) Ships in 10 - 15 working days

Over the last few years, there has been a growing realization among Indians that their life's savings, the bulk of which are parked in physical assets like real estate and gold, are unlikely to help them generate sufficient returns to fund their financial goals, including retirement. At the same time, many have lost their hard-earned money trying to invest in financial assets, including debt and equities. Such losses have occurred due to many reasons, such as corporate frauds, weak business models and misallocation of capital by the companies in whose shares unsuspecting investors parked their savings. What options do Indian savers then have to invest in, and build their wealth? Diamonds in the Dust offers Indian savers a simple, yet highly effective, investment technique to identify clean, well-managed Indian companies that have consistently generated outsized returns for investors. Based on in-depth research conducted by the award-winning team at Marcellus Investment Managers, it uses case studies and charts to help readers learn the art and science of investing in the US$3 trillion Indian stock market. The book also debunks many notions of investing that have emerged from the misguided application of Western investment theories in the Indian context. Vital and indispensable, this book will serve as the ultimate manual on investing and provide practical counsel to readers to achieve their financial goals.

Theory and Practice of Insurance (Hardcover, 1998 ed.): J.Francois Outreville Theory and Practice of Insurance (Hardcover, 1998 ed.)
J.Francois Outreville
R5,781 Discovery Miles 57 810 Ships in 10 - 15 working days

Insurance is a concept, a technique, and an economic institution. It is a major tool of risk management, and plays an important role in the economic, social, and political life of all countries. Economic growth throughout the world has even expanded the role of insurance. Theory and Practice of Insurance aims to describe the significance of insurance institutions, the reasons they exist and how they function. The author emphasizes fundamental principles in risk and insurance, using an international frame of reference. This volume begins with an introduction to the concept of risk, then proceeds to cover insurance and its relationship to the economy; the principles of risk management and insurance; and the characteristics and performance of insurance companies.

The Offshore Interface - Tax Havens in the Global Economy (Hardcover): Mark P. Hampton The Offshore Interface - Tax Havens in the Global Economy (Hardcover)
Mark P. Hampton
R4,361 Discovery Miles 43 610 Ships in 10 - 15 working days

This book opens up the secret world of tax havens and offshore finance centres (OFCs), a vast offshore business valued at over one trillion US dollars. It is a timely and original analysis of the role of OFCs in the emerging global economy. The book discusses who uses OFCs, how OFCs work and what drives their development. Extensive use of case study material from Jersey illustrates the growth of a successful OFC and its impact upon a small island.

Alternative Investments and the Mismanagement of Risk (Hardcover, 2003 ed.): D. Chorafas Alternative Investments and the Mismanagement of Risk (Hardcover, 2003 ed.)
D. Chorafas
R1,525 Discovery Miles 15 250 Ships in 10 - 15 working days

In this book Dimitris N. Chorafas has uncovered the hidden risks behind alternative investments through extensive research in the US, UK, Germany, France, Italy, Scandinavia, and Switzerland. He also provides solutions to the problems identified. This book is particularly important in light of recent scandals such as Enron and WorldCom.

Advances in Investment Analysis and Portfolio Management, Volume 5 (Hardcover): Cheng-Few Lee Advances in Investment Analysis and Portfolio Management, Volume 5 (Hardcover)
Cheng-Few Lee
R2,182 Discovery Miles 21 820 Ships in 12 - 19 working days

This fifth volume in the series covers a variety of topics in the field of advances in investment and portfolio management.

Growth-Linked Securities (Hardcover, 1st ed. 2017): John Williamson Growth-Linked Securities (Hardcover, 1st ed. 2017)
John Williamson
R1,852 Discovery Miles 18 520 Ships in 12 - 19 working days

This book provides a detailed and comprehensive synthesis of the literature on growth-linked securities, which are an equity-like method of financing for sovereigns. Based on an idea introduced by Shiller (1993), these securities enjoy growing intellectual support. Momentum in favour of them in policy circles has increased since the global financial crisis of 2007-9 and the subsequent debt crisis in Europe in 2010. This book covers many issues on the topic. After surveying the history of the idea and past experiences of countries that issued growth-linked warrants, chapters examine the pros and cons of this financial instrument from the point of view of issuers and investors. The book also discusses technical issues preventing the broad issuance of growth-linked securities and provides solutions to foster their acceptance by market participants.

The Crash Put Simply - Oct-87 (Hardcover): Ruben J. Dunn, John Morris The Crash Put Simply - Oct-87 (Hardcover)
Ruben J. Dunn, John Morris
R2,202 Discovery Miles 22 020 Ships in 10 - 15 working days

Written for the general reader who has little financial background, this book analyzes the extended bull market of the 1980s and the subsequent stock market crash on October 19, 1987. To tell their story, the authors use a sample portfolio of stocks, bonds, options, savings, and warrants, tracing actual investments bought and sold from the early 1980s through the October 1987 crash. By following their hypothetical portfolio through the ups and downs of the 1980s market, the reader gains a practical understanding of the workings of the stock market and the pressures that led to its calamitous plunge in October 1987. Anyone seeking a practical and nontechnical yet thorough explanation of the events of October 19th will find "The Crash Put Simply" fascinating reading.

As their story unfolds, the authors explain each type of investment in detail, paying special attention to their advantages and risks. They trace the impact of specific events on the market, using the sample portfolio to illustrate typical investor expectations and reactions during the long bull market. This unique approach enables the reader to understand how events moved the market and how, in the week prior to October 19th, a panic of action and reaction finally brought the market crashing down.

Foreign Exchange Options - An International Guide to Currency Options, Trading and Practice (Hardcover, 2nd edition): Alan Hicks Foreign Exchange Options - An International Guide to Currency Options, Trading and Practice (Hardcover, 2nd edition)
Alan Hicks
R4,767 Discovery Miles 47 670 Ships in 12 - 19 working days

Since the first edition of Foreign Exchange Options in 1993, trading in foreign exchange options has undergone rapid expansion and now accounts for a daily turnover of some $100 billion world-wide. This revised and expanded second edition takes into account recent changes in both market practice and regulatory requirements and contains many new explanatory diagrams and practical examples.
As with the first edition, the emphasis is on practicality, taking the reader through the basics, clarifying jargon when and where appropriate. This book will be invaluable for accountants, auditors, experienced practitioners and those entering the world of currency options for the first time.
The benefits of using options to hedge foreign exchange riskDetailed examination of both the OTC market and the main exchange listingSpecific coverage of pricing, trading risk and market practice

The Essayist - Reflections from a Real Estate Survivor: (A Collection of Essays from The Huffington Post, Dissident Voice and... The Essayist - Reflections from a Real Estate Survivor: (A Collection of Essays from The Huffington Post, Dissident Voice and CounterPunch.com) (Hardcover)
D. Sidney Potter
R1,124 Discovery Miles 11 240 Ships in 12 - 19 working days
Sharing Profits - The Ethics of Remuneration, Tax and Shareholder Returns (Hardcover): J. Reynolds Sharing Profits - The Ethics of Remuneration, Tax and Shareholder Returns (Hardcover)
J. Reynolds
R2,602 R1,926 Discovery Miles 19 260 Save R676 (26%) Ships in 12 - 19 working days

Any decision by a company regarding the use of profits to pay tax, remuneration or shareholder returns has ethical implications. Sharing Profits reviews high-profile ethical issues facing companies in how profits are used, and proposes a framework for understanding the ethical implications of decisions.

Investing in Thoroughbreds - Strategies for Success (Hardcover, 1st ed): Arnold Kirkpatrick Investing in Thoroughbreds - Strategies for Success (Hardcover, 1st ed)
Arnold Kirkpatrick
R764 R713 Discovery Miles 7 130 Save R51 (7%) Ships in 10 - 15 working days

This book is a practical guide intended to help racing industry newcomers make smart business decisions.

Forex and Cryptocurrency 2021 - The Best Methods For Forex And Crypto Trading. How To Make Money Online By Trading Forex and... Forex and Cryptocurrency 2021 - The Best Methods For Forex And Crypto Trading. How To Make Money Online By Trading Forex and Cryptos With The $11,000 per Month Guide (Hardcover)
David Uchiha
R617 Discovery Miles 6 170 Ships in 12 - 19 working days
Regulation of U.S. Equity Markets (Hardcover, 2001 ed.): Robert A. Schwartz Regulation of U.S. Equity Markets (Hardcover, 2001 ed.)
Robert A. Schwartz
R2,967 Discovery Miles 29 670 Ships in 10 - 15 working days

In the past quarter of a century, the pace of structural change in the equity markets has accelerated dramatically and, as it has, regulation has come to play an increasingly central role in the development of market structure. The purpose of Regulation of U.S. Equity Markets is to consider regulation's contribution to the efficiency of the U.S. equity markets. Sharply different opinions are expressed on the matter, as the discussion ranges from Congressional oversight, to SEC involvement in market structure issues, to the self-regulatory responsibilities of the market centers, most notably, the New York Stock Exchange and the Nasdaq Stock Market.

Price-Based Investment Strategies - How Research Discoveries Reinvented Technical Analysis (Hardcover, 1st ed. 2018): Adam... Price-Based Investment Strategies - How Research Discoveries Reinvented Technical Analysis (Hardcover, 1st ed. 2018)
Adam Zaremba, Jacob "Koby" Shemer
R3,633 Discovery Miles 36 330 Ships in 10 - 15 working days

This compelling book examines the price-based revolution in investing, showing how research over recent decades has reinvented technical analysis. The authors discuss the major groups of price-based strategies, considering their theoretical motivation, individual and combined implementation, and back-tested results when applied to investment across country stock markets. Containing a comprehensive sample of performance data, taken from 24 major developed markets around the world and ranging over the last 25 years, the authors construct practical portfolios and display their performance-ensuring the book is not only academically rigorous, but practically applicable too. This is a highly useful volume that will be of relevance to researchers and students working in the field of price-based investing, as well as individual investors, fund pickers, market analysts, fund managers, pension fund consultants, hedge fund portfolio managers, endowment chief investment officers, futures traders, and family office investors.

Investing in India (Hardcover): S. Acharya Investing in India (Hardcover)
S. Acharya
R2,884 Discovery Miles 28 840 Ships in 10 - 15 working days

The reforms initiated in 1991 have transformed India's economy and capital market. The book offers a comprehensive evaluation of developments in both sectors from an investor's viewpoint. The potential growth of India's stockmarket is examined as the country progresses with its economic liberalisation. The insights offered into investing in India can be profitably applied by seasoned investors as well as by non-professionals. This exclusive analysis of the Indian market will be of interest to students and policy makers as much as to anyone interested in investing in one of the major markets to have emerged from its seclusion and opened itself up to global investors.

Banking, International Capital Flows and Growth in Europe - Financial Markets, Savings and Monetary Integration in a World with... Banking, International Capital Flows and Growth in Europe - Financial Markets, Savings and Monetary Integration in a World with Uncertain Convergence (Hardcover, 1997 ed.)
Paul J.J. Welfens, Holger C. Wolf
R4,625 Discovery Miles 46 250 Ships in 10 - 15 working days

Paul J.J. Welfens and Holger C. Wolf While the economies of Asia and, more recently, South as well as North America have enjoyed sustained high growth, the growth performance of western Europe and in particular continental Europe has been rather modest. Coupled with sizable improvements in labor productivity and - at best - steady capital productivity, growth proved insufficient to sustain employment levels, much less to replicate the US job creation success. Relative inflation performance has been much better: in the run-up to European Monetary Union inflation rates have dramatically converged towards the lower end of the distribution while risk premia on formerly high inflation economies have fallen. Yet, looking forward, the undoubted success in achieving price stability is mitigated by the lackluster growth -and in particular employment -performance. Indeed, the relative little attention paid to initiatives directed at raising economic growth is startling, not only in the light of the US policy record but also in light of the remarkable rebound of those European economies which have aggressively tackled the structural problems, most prominently the UK and Ireland.

Stock Market, Dividend And Real Estate Investing For Beginners (3 Books in 1) - Learn The Basics Of Stock Market, Dividend And... Stock Market, Dividend And Real Estate Investing For Beginners (3 Books in 1) - Learn The Basics Of Stock Market, Dividend And Real Estate Investing Strategies In 5 Days And Learn It Well (Large print, Hardcover, Large type / large print edition)
Michael Ezeanaka
R1,176 Discovery Miles 11 760 Ships in 10 - 15 working days
Cross-Border Investing - The Case of Central and Eastern Europe (Hardcover, 2004 ed.): Julia Djarova Cross-Border Investing - The Case of Central and Eastern Europe (Hardcover, 2004 ed.)
Julia Djarova
R3,052 Discovery Miles 30 520 Ships in 10 - 15 working days

Cross-Border Investing: The Case of Central and Eastern Europe offers a view that reflects two main hypotheses: -You cannot understand foreign direct investment (FDI) trends and developments unless you understand the company's motives to invest, -You cannot understand a company's cross-border investment decision-making unless you understand what the investment area offers.
This is the reason why this text builds up a relationship between the world of companies' decision-makers and that of the policy makers in the public sector. It does so by linking the business processes to the factors that together constitute the location profile of a country or a region.
Based on more than 15 years of practical experience as well as research in the field of FDI, Dr Julia Djarova offers a Cross-Border Investment Model to describe the logic behind the decision-making process concerning foreign investments made by companies. The model is illustrated by a number of case studies of multinationals.

Transmission Channels of Financial Shocks to Stock, Bond, and Asset-Backed Markets - An Empirical Model (Hardcover, 1st ed.... Transmission Channels of Financial Shocks to Stock, Bond, and Asset-Backed Markets - An Empirical Model (Hardcover, 1st ed. 2016)
Massimo Guidolin, Viola Fabbrini, Manuela Pedio
R1,846 Discovery Miles 18 460 Ships in 12 - 19 working days

Researchers, policymakers and commentators have long debated the patterns through which adverse shocks in a few markets may quickly spread to a range of apparently disconnected financial markets causing widespread losses and turmoil. This book uses modern linear and non-linear econometric methods to characterize how shocks to the yield of risky fixed income securities, such as sub-prime asset-backed or low-credit rating sovereign bonds, are transmitted to the yields in other markets. These include equity and corporate bond markets as well as relatively risk-free fixed income securities, such as highly rated asset-backed securities and sovereign bonds from core Eurozone countries. The authors analyse and compare the results from linear and non-linear models to identify and assess four distinct contagion channels characterizing both US and European financial markets. These include the correlated information, risk premium, flight-to-liquidity, and flight-to quality channels. The results of this study support the theory that both investors and policy-makers ought to pay special attention to liquidity and commonalities in the perceptions of the probabilities of default, as channels through which financial shocks propagate.

Algorithmic Trading - Step-By-Step Guide to Develop Your Own Winning Trading Strategy Using Financial Machine Learning Without... Algorithmic Trading - Step-By-Step Guide to Develop Your Own Winning Trading Strategy Using Financial Machine Learning Without Having to Learn Code (Hardcover)
Investors Press
R573 Discovery Miles 5 730 Ships in 10 - 15 working days
Swing Trading for Beginners - The Complete Guide on How to Become a Profitable Trader Using These Proven Swing Trading... Swing Trading for Beginners - The Complete Guide on How to Become a Profitable Trader Using These Proven Swing Trading Techniques and Strategies. Includes Stocks, Options, ETFs, Forex, & Futures (Hardcover)
Adam Edwards
R607 R551 Discovery Miles 5 510 Save R56 (9%) Ships in 10 - 15 working days
The Rational Investor - How to Beat Wall Street, Build Passive Wealth and Stop Worrying About Money (Paperback): Ben Le Fort The Rational Investor - How to Beat Wall Street, Build Passive Wealth and Stop Worrying About Money (Paperback)
Ben Le Fort
R524 Discovery Miles 5 240 Ships in 10 - 15 working days
The Foreign Exchange Market - Empirical Studies with High-Frequency Data (Hardcover): C Goodhart, R. Payne The Foreign Exchange Market - Empirical Studies with High-Frequency Data (Hardcover)
C Goodhart, R. Payne
R2,985 Discovery Miles 29 850 Ships in 10 - 15 working days

This text brings together a number of research studies, all of which examine the behaviour of foreign exchange rates. The main focus of the collection is on empirical characterization of high-frequency exchange rate data. The pioneering studies demonstrate and explain, amongst other things, the regular patterns in intra-day foreign exchange rate activity, the effects of macroeconomic news of rates and analyze the profitability of technical trading rules in these markets. The collection should be of use to students, academics and practitioners who are interested in exchange rate dynamics.

Real Options and Investment Incentives (Hardcover, 2007 ed.): Gunther Friedl Real Options and Investment Incentives (Hardcover, 2007 ed.)
Gunther Friedl
R2,945 Discovery Miles 29 450 Ships in 10 - 15 working days

Many large corporations delegate investment decision-making authority to their divisions. Because they are better informed, divisional managers should be able to make better decisions than corporate headquarters. However, they can use this informational advantage to pursue their own interests. The objective of this work is to analyze the problem of delegated decision-making within firms when investment projects are characterized by the possibility to make subsequent decisions after the initial investment decision has been made. By analyzing this question, the monograph combines and unifies two important lines of literature: on the one hand the literature on controlling investment decisions, on the other hand the investment valuation literature.

States, Markets and Regimes in Global Finance (Hardcover): Tony Porter States, Markets and Regimes in Global Finance (Hardcover)
Tony Porter
R2,873 Discovery Miles 28 730 Ships in 10 - 15 working days

Building upon a wide range of literatures, this book argues that international regulatory institutions become stronger when oligopolistic institutional arrangements decay and competitive pressures intensify. This is shown to be the case for global finance by the study of two inter-state institutions - the Basle Committee on Banking Supervision and the International Organization of Securities Commissions, and of the international banking and securities industries which they seek to regulate. There is also the development of the concept of "private" regimes.

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