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This decade has witnessed the most dynamic bull market in US stock history, a collapse in commodity prices, and dramatic failures in some of the world′s leading hedge funds. Meer
Fast technological advances have allowed investors and traders to make increasingly sophisticated analysis of market momentum. The current trend in the financial world continues towards momentum analysis and Smart Momentum builds on this to create a new and far more reliable method of momentum analysis called "smart momentum". Meer
Over the past decade there has been a great escalation in the sophistication of the
financial markets and technology and as a result many new derivatives products have
been developed. Meer
Although the pricing and hedging of derivatives contracts has been the subject of a large number of books, hardly any books exist on the actual design of derivatives contracts. Meer
An in–depth look at the increasingly significant convergence between the insurance industry and the capital markets.
This important publication, by two premier financial experts, explores the unique convergence of finance and insurance. Meer
Written for students and business neophytes alike, it provides a thorough grounding in the art of investing. Defines the basic types of securities and the concepts of risk and return; explains how the securities market operates; shows how to analyze securities step–by–step; explores the issues of administering investments in stocks, tax shelters, real estate and other investments; and deals with the special situations that might arise in convertibles, commodities and derivative securities. Meer
A successful money manager and leading practitioner in the field offers sound advice on both ethical considerations and ``how–to′′ financial strategies for investing in responsible funds, organizations and managers in global markets, not only to increase your net worth but to make the world a better place to live. Meer
The comprehensive guide to creating, valuing, and trading today′s most innovative fixed–income securities . Financial markets worldwide are being flooded with a wealth of innovative and increasingly complex securities. Meer
The future of fund management in the era of individual trading
With the globalization of the financial markets, the rise of pension and tracker funds, and the technical feasibility for anyone to trade almost anything at any time, some are questioning the very necessity of highly paid fund managers. Meer
Praise for the classic guide to gaining a psychological advantage in investment and trading
"The Investor′s Quotient is destined to go down in history as the ultimate book on investor psychology . Meer
Balanced scorecard is a widely recognised and accepted performance measurement tool that is currently used in thousands of organisations around the world. Meer
The economic climate, new regulations and developments both here and abroad have totally changed the face of today′s mergers and acquisitions. Completely rewritten and updated, it examines realistic strategies and goals for the 1990s that must be addressed in order to achieve a successful acquisition program. Meer
Approaches trading from the viewpoint of market makers and the part they play in pricing, valuing and placing positions. Covers option volatility and pricing, risk analysis, spreads, strategies and tactics for the options trader, focusing on how to work successfully with market makers. Meer
A fresh look at classic principles and applications of Fibonacci numbers and the Elliott Wave trading system. Demonstrates how to calculate and predict key turning points in commodity markets, analyze business and economic cycles as well as identify profitable turning points in interest rate movement. Meer
A leading pioneer in the field offers practical applications of this innovative science. Peters describes complex concepts in an easy–to–follow manner for the non–mathematician. Meer
SEPA was created by Europe s banks in 2002 in response to regulations and plans drawn up by the European Commission from a meeting in Lisbon at the turn of the millennium. Meer
"Fletcher and Gardner have created a comprehensive resource that will be of interest not only to those working in the field of finance, but also to those using numerical methods in other fields such as engineering, physics, and actuarial mathematics. Meer
Written by leading market risk academic, Professor Carol Alexander, Value–at–Risk Models forms part four of the
Market Risk Analysis four volume set. Meer
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