Investment Books [Page 5 of 482]
Simpson, Mr. John
Publisher: CreateSpace Independent Publishing Platform
Investment Leadership Building a Winning Culture for Long-Term Success
Jim Ware, Beth Michaels, Dale Primer
Quality Control, General, Trades & Technology -> Technical Trades -> Quality Control, Allied Health & Medical -> Veterinary Medicine -> Veterinary Medicine General
Sarah W. Peck
Publisher: Wiley Global Education US
Investment banking, Valuation, Leveraged buyouts, Consolidation and merger of corporations, Investment analysis
Joshua Rosenbaum, Joshua Pearl
Publisher: Wiley & Sons, Incorporated, John
A Timely Update To The Global Best-selling Book On Investment Banking And Valuation In The Constantly Evolving World Of Finance, A Solid Technical Foundation Is An Essential Tool For Success. Due To The Fast-paced Nature Of This World, However, No One Was Able To Take The Time To Properly Codify Its Lifeblood—namely, Valuation And Dealmaking. Rosenbaum And Pearl Originally Responded To This Need In 2009 By Writing The First Edition Of The Book That They Wish Had Existed When They Were Trying To Break Into Wall Street. Investment Banking: Valuation, Lbos, M&a, And Ipos, Third Edition Is A Highly Accessible And Authoritative Book Written By Investment Bankers That Explains How To Perform The Valuation Work And Financial Analysis At The Core Of Wall Street—comparable Companies, Precedent Transactions, Dcf, Lbo, M&a Analysis . . . And Now Ipo Analytics And Valuation. Using A Step-by-step, How-to Approach For Each Methodology, The Authors Build A Chronological Knowledge Base And Define Key Terms, Financial Concepts, And Processes Throughout The Book. The Genesis For The Original Book Stemmed From The Authors' Personal Experiences As Students Interviewing For Investment Banking Positions. As They Both Independently Went Through The Rigorous Process, They Realized That Their Classroom Experiences Were A Step Removed From How Valuation And Financial Analysis Were Performed In Real-world Situations. Consequently, They Created This Book To Provide A Leg Up To Those Individuals Seeking Or Beginning Careers On Wall Street—from Students At Undergraduate Universities And Graduate Schools To Career Changers Looking To Break Into Finance. Now, Over 10 Years After The Release Of The First Edition, The Book Is More Relevant And Topical Than Ever. It Is Used In Over 200 Universities Globally And Has Become A Go-to Resource For Investment Banks, Private Equity, Investment Firms, And Corporations Undertaking M&a Transactions, Lbos, Ipos, Restructurings, And Investment Decisions. As The World Of Finance Adjusts To The New Normal Of The Post-great Recession Era, It Merits Revisiting The Pillars Of The Second Edition For Today's Environment. While The Fundamentals Haven't Changed, The Environment Must Adapt To Changing Market Developments And Conditions. As A Result, Rosenbaum And Pearl Have Updated Their Widely Adopted Book Accordingly, While Adding Two New Chapters On Ipos.
Publisher: John Wiley & Sons
This Book Is About The Author's Amazing Trip Across Six Continents And The World Economy And Society. It Discusses Who's Sinking And Who's Swimming, Which Countries Are On The Rise And Which Are Collapsing, Where You Can Make A Million And Where You Could Lose One. Every Place He Stopped On The Trip, Rogers Talked To Businessmen, Bankers, Investors And Regular People. He Learned Reams Of Information That You'd Never Learn From Reading The Financial Pages Of Any Periodical. Delivers A Thrilling Account Of The Journey Of A Lifetime And Provides Tips That Would Enable You To Pay For A Trip Just Like It.
Johan Marx, Raphael T. Mpofu
The Goal Of Investment Management Is To Achieve The Investor's Required Rate Of Return By Putting Assets To Their Most Productive Use. The Return Should Compensate The Investor For The Time During Which The Funds Are Committed, The Expected Rate Of Inflation And The Uncertainty Of The Future Financial Benefits Expected From The Investment. Investment Management Is A Concise, Yet Comprehensive Introduction To Investment Analysis And Portfolio Management, Specifically In South Africa. Investment Management Focuses On Investment In Financial Assets Such As Shares And Bonds, And Explains Fundamental And Technical Analysis. It Investigates Portfolio Management And How Derivative Instruments Such As Futures, Options And Swaps May Be Used For This Purpose. In Addition, A Chapter Is Devoted To The Foreign Exchange Market And Its Management.--cover.
Property Investment Principles and Practice of Portfolio Management
General, General, Professional, Career & Trade -> Engineering -> Civil Engineering, SCBU8020, SCBU8070, Trades & Technology -> Construction -> General
Martin Hoesli; Bryan D. Macgregor
Publisher: Taylor & Francis
Property investment markets and applied property research are now recognised as an increasingly important international phenomenon. Written by two of the most respected academics in the field, this authoritative guide provides a fresh and much needed perspective on this important subject. The book examines the unique characteristics of property investment within the context of other capital markets . The emphasis is strongly on the application of analytical tools from other markets to help academics and practitioners alike understand and apply the investment management of property with that of other asset classes. The book is split into three parts, each focusing mainly on direct commercial property: The characteristics of the various asset classes in the investment background The analyses necessary to develop a property portfolio strategy An examination of property in a wider context This book will be invaluable to all undergraduate and postgraduate students on property courses worldwide. It is also an essential tool to understanding this complex and exciting field for students on finance, business and accountancy courses which cover property. Its practical, applied approach means that the book will be a welcome addition to the bookshelf of any researchers or investment managers with an interest in property.
Publisher: Bloomberg Press
everything You Need To Know About The World Of Investmentmost Accessibly Presented And Attractively Packaged.following An Introduction On The Roller Coaster Ride The Stock Market Has Taken Over The Past Decade And The Implications It Has For Businesses, Private Investors And People's Pensions, The Bulk Of The Book Is A Much Expanded A-z With Several Hundred Entries That Explain With The Essentials Of The Investment Worldas Well As Some Of Its More Arcane Aspects. Entries Include: Advance-decline Line, Arbitrage, Bear Squeeze, Black-scholes Option Pricing Model, Capital Asset Pricing Model, Chartist, Covariance, Dead Cat Bounce, Dow Theory, Efficient Frontier, Fibonacci Numbers, Floating Rate Note, Futures, Gann Theory, Golden Cross, Grey Market, Hedge Ratio, Indifference Curve, Internal Rate Of Return, Japanese Candlesticks, Kondratief Cycle, Liffe, Mark To Market, Odd-lot Theory, On-the-run Bond, Price-to-book Ratio, Qualitative Analysis, Rule Of Twenty, Security Analysis, Straddle, Tobin's Q, Trading Collar, Unsystematic Risk, Vanilla, Volatility, Warrant, Yield Gap, Zero Coupon Bond. Also Included As Appendices Are A Raft Of Facts And Figures About Stock Market Performance Over The Years; Investment Formulas.
author Biography: philip Ryland Is Currently Associate Editor Of investors Chronicle. Previously He Has Worked As An Investment Analyst And Head Of Research For Leading Stockbrokers.
Investment Management Meeting the Noble Challenges of Funding Pensions, Deficits, and Growth
Wayne H. Wagner, Ralph A. Rieves
Praise for Investment Management
"A compelling analysis of the challenges of investment management, and why investment management firms require innovation to succeed."
—Blake Grossman, CEO, Barclays Global Investors
"Great investment managers understand that positioning portfolios for clients should not be an act of conformity, but rather a constant journey of shifting fundamentals and opinion. Wayne and Ralph bring this fact to life by addressing some of the key challenges to serious investment thinking, using top-level researchers in their respective fields. For those investment managers and clients who want to go beyond the ordinary."
—Jeff Diermeier, former CEO of CFA Institute and retired CIO of UBS Global Asset Management
"The essays in this book provide an invaluable reference point of serious readings for money managers. The works provide the analyst with the most recent scholarship in a single book, presenting ideas and philosophy that will lead me back to its various sections time and time again."
—Kenneth S. Hackel, CFA, President, CT Capital LLC
"The crash of 2007–2009 brought a harsh conclusion to a quarter of a century of unprecedented growth and prosperity for the investment management industry, which faces no less a task than reinventing itself. Rieves' and Wagner's contribution to the way forward couldn't be timelier."
—Richard Ennis, Principal, Ennis Knupp + Associates
"This book uniformly focuses on the best practices to which investment management professionals should commit. I highly recommend this book to investment managers, sales people, and trustees of pensions, endowments, trusts, and mutual funds."
—Jack Clark Francis, PhD, Professor of Economics and Finance, Bernard Baruch College
General, General, Reference, Investing, Business & Economics -> Business -> Business Studies, Business & Economics -> Finance -> Personal Finance, Business & Economics -> Marketing -> Resources for Business Professionals
Publisher: BarCharts Inc.
Demystify investment lingo and common opportunities with this concise and handy guide. Common investment options are defined as well as the language used in the investment world to give you a solid understanding while you search for options and make these critical life decisions.
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Nationalism in the Twenty-First Century Challenges and Responses
General, General, Real Estate, Trades & Technology -> Construction -> General, Professional, Career & Trade -> Architecture -> Building Design & Technology, SUCO11647, SC527040, Business & Economics -> Economics -> Investing/Stockmarket, 3119, 4692, TR, SUS
David Isaac; John O'Leary
Publisher: Bloomsbury UK
This textbook brings together three important aspects of property investment - strategies for investment, markets and appraisal - and explains many difficult concepts in a readable and understandable way. The authors outline the developments in investment and finance theory that have had such an impact on the property investment sector. Concepts are explained with great clarity and worked examples are used to elucidate key principles where possible. This book is ideal for modules taught on third year undergraduate and postgraduate level in Property Investment, Property Funding, Property Management Estate Management, Land Management, Planning and Development Studies, Land Economics, Real Estate (value and management) and is also of interest to students of Architecture, Construction and Surveying. New to this Edition: - Thoroughly updated to reflect changes in government policy on sustainability, assessing the implications of sustainability for both residential and commercial property investment - Reflections on the reverberations of the credit crunch, considering the extent to which risk reduction techniques can mitigate against globally induced and volatile market swings - Greater prominence given to the growth of the buy-to-let market in residential property investment - A review of the key investment performance issues which have arisen from the introduction of Real Estate Investment Trusts (REITs) - Includes more worked examples and case studies
Marine Life, English & College Success -> English -> Juvenile Non-Fiction
Publisher: LAD Custom Publishing, Inc
Investments, Investment analysis
Carroll D. And Donald E. Vaughn, Eds. Aby
Publisher: Goodyear Pub. Co
Mulligan, M. (marvin), Williams-wynn, Marina
Publisher: Committee For Economic Development Of Australia
Business & Economics, General
Harry C Sauvain
Portfolio Management, Investment Analysis
Squire L Speedy