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Financial statements hold the key to a company′s fiscal health so learn to read them!
In order to gauge a company′s health as well as the competition′s managers must know how to properly read and understand financial statements. Meer
A ground–breaking and practical treatment of probability and stochastic processes
A Modern Theory of Random Variation is a new and radical re–formulation of the mathematical underpinnings of subjects as diverse as investment, communication engineering, and quantum mechanics. Meer
For years, traders and investors have been using unproven assumptions about popular patterns such as breakouts, momentum, new highs, new lows, market breadth, put/call ratios and more without knowing if there is a statistical edge. Meer
A complete appraisal of analytical tools available to managers to assess performance
Required reading for anyone starting, running, or growing a business, Business Ratios and Formulas, Third Edition puts answers at the fingertips of business managers, with nearly 250 operational criteria and clear, easy–to–understand explanations that can be used right away. Meer
Quick–reference guidance showing new controllers how to enhance performance while avoiding pitfalls
Designed to give new controllers a firm foundation in the concepts of managing the accounting department, locating GAAP information, and analyzing and knowing what to do with key accounting information, The Essential Controller, Second Edition is the invaluable primer you can turn to for the foundation you need to succeed. Meer
Selected as one of Motley Fool s 5 Great Books You Should Read
Advice on managing your wealth from bestselling author Bill Bonner
From trusted New York Times bestselling author Bill Bonner comes a radical new way to look at family money and a practical, actionable guide to getting and maintaining multigenerational wealth. Meer
A comprehensive, in–depth look at global debt capital markets in the post–crisis world
Fully updated with comprehensive coverage of the post–crisis debt markets and their impact on key industry issues, Fixed Income Markets: Management, Trading, and Hedging, Second Edition offers insights into derivative pricing, cross–currency hedging, and new liquidity legislation. Meer
Using Asset Allocation to Reduce Risk and Boost Investing Returns
Presenting a revolutionary new investment philosophy that redefines how we view sector investing, The Sector Strategist challenges long held ideas about how this unique area of finance operates. Meer
A fascinating exploration of which countries offer promising investment opportunities for Americans now and in the years to come
Most emerging markets investment guides focus on financial metrics, but fail to provide the reader with new and relevant insights into the history of the countries, the views of the people on the street, and the financial shenanigans that go on behind the scenes, that make for truly informed investing. Meer
The bestselling guide to real estate, newly revised for today?s investors More than ever, investing in property today will set you on track to conquer financial uncertainty and build your long–term net worth. Meer
A practical guide to avoiding the most common scams, from a fraud–fighting expert
U.S. consumers lose billions of dollars each year to scam artists and the next victim could be you. Meer
A top risk management practitioner addresses the essential aspects of modern financial risk management
In the Second Edition of Financial Risk Management + Website, market risk expert Steve Allen offers an insider′s view of this discipline and covers the strategies, principles, and measurement techniques necessary to manage and measure financial risk. Meer
Key strategies for running a family office for fund managers
Understanding the basics of the family office industry is essential if you want to succeed in establishing a successful fund for a wealthy family. Meer
Understand today′s investment challenges and the role of the Bloomberg system
In recent years, changes have swept through the investment industry like wildfire. Meer
A practical, informative guide to derivatives in the real world
Derivatives is an exposition on investments, guiding you from the basic concepts, strategies, and fundamentals to a more detailed understanding of the advanced strategies and models. Meer
The definitive story of Fischer Black, one of the greatest financial minds of all time Besides revolutionizing finance with the Black–Scholes option pricing model, Fischer Black forever changed Wall Street by developing what is now known as quantitative finance. Meer
Praise for Sheldon Jacobs
"Sheldon Jacobs is a level–headed gentleman who is a cross between Albert Einstein, the Dalai Lama, and Vanguard founder Jack Bogle and who had a solid record editing and publishing The No–Load Fund Investor financial newsletter for over a quarter–century. Meer
A detailed road map for wealth managers who want to build an ensemble firm or team and achieve sustained growth, profitability and high valuations
Why do ten percent of wealth management firms grow faster than the rest of the industry, often despite the turbulence of the markets? Meer
Driven by public opinion in host states, contracting parties to investment agreements are pursuing many avenues in order to curb a system that is being perceived - correctly or not - as having run out of control. Meer
Actuarial Mathematics for Life Contingent Risks, 2nd edition, is the sole required text for the Society of Actuaries Exam MLC Fall 2015 and Spring 2016. Meer
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