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Probability and Statistics for Finance

Probability and Statistics for Finance


Probability and Statistics for Finance by Svetlozar T. Rachev, Markus Hoechstoetter, Frank J. Fabozzi CFA, Sergio M. Focardi


Wi ley | 2010 | ISBN: 0470400935 | 654 pages | mobi | 8 MB



In order to remain competitive in the intensely quantitative field of finance, you need a firm understanding of the foundations of finance: probability and statistics. Expert authors Svetlozar Zari Rachev, Markus Hochstotter, Frank Fabozzi, and Sergio Focardi have written Probability and Statistics for Finance for that reason.
Financial Management and Analysis, 2nd Edition

Financial Management and Analysis, 2nd Edition

Financial Management and Analysis (Frank J. Fabozzi Series) by Frank J., PhD, CFA, CPA Fabozzi (Author), Pamela P. Peterson (Author)
Publisher: Wiley; 2 Sub edition (July 7, 2003) | ISBN-10: 0471234842 | PDF | 7 Mb | 1024 pages

Financial Management and Analysis, Second Edition covers many important financial topics that are neglected elsewhere--from raising funds via securitization to managing a financial institution. This book provides valuable insights into many major aspects of financial management and analysis, and includes expert advice, real-world examples, useful charts and graphs, and incisive end-of-chapter questions that help develop the skill set necessary to deal with the important financial problems encountered in today's business world.
Financial Management and Analysis, 2nd Edition

Financial Management and Analysis, 2nd Edition

Financial Management and Analysis (Frank J. Fabozzi Series) by Frank J., PhD, CFA, CPA Fabozzi (Author), Pamela P. Peterson (Author)
Publisher: Wiley; 2 Sub edition (July 7, 2003) | ISBN-10: 0471234842 | PDF | 7 Mb | 1024 pages

Financial Management and Analysis, Second Edition covers many important financial topics that are neglected elsewhere--from raising funds via securitization to managing a financial institution. This book provides valuable insights into many major aspects of financial management and analysis, and includes expert advice, real-world examples, useful charts and graphs, and incisive end-of-chapter questions that help develop the skill set necessary to deal with the important financial problems encountered in today's business world.
Subprime Mortgage Credit Derivatives

Subprime Mortgage Credit Derivatives

Subprime Mortgage Credit Derivatives by Laurie S. Goodman, Shumin Li, Douglas J. Lucas, Thomas A. Zimmerman, Frank J. Fabozzi CFA

Publisher: Wiley (June 30, 2008) | ISBN-10: 047024366X | ISBN-13: 978-0470243664 | 334 Pages | PDF | 12 MB

Mortgage credit derivatives are a risky business, especially of late. Written by an expert author team of UBS practitioners-Laurie Goodman, Shumin Li, Douglas Lucas, and Thomas Zimmerman-along with Frank Fabozzi of Yale University, Subprime Mortgage Credit Derivatives covers state-of-the-art instruments and strategies for managing a portfolio of mortgage credits in today's volatile climate.
The Basics of Finance

The Basics of Finance

Pamela Peterson Drake CFA, Frank J. Fabozzi CFA, "The Basics of Finance: An Introduction to Financial Markets, Business Finance, and Portfolio Management"
Wiley | 2010 | ISBN: 0470609710 | 665 pages | PDF | 3,7 MB

An introductory guide to the world of finance
The Basics of Finance is an accessible book for those who want to gain a better understanding of this field, but lack a strong business background. It covers essential concepts, tools, methods, and strategies in finance without delving too far into theory.
Written by the experienced author team of Frank Fabozzi and Pamela Peterson Drake, this reliable resource discusses everything from financial instruments and markets to portfolio management techniques, understanding and analyzing financial statements, and different types of corporate financial strategy, planning, and policy.
The Future of Finance: A New Model for Banking and Investment

The Future of Finance: A New Model for Banking and Investment

The Future of Finance: A New Model for Banking and Investment by Moorad Choudhry, Gino Landuyt and Frank J. Fabozzi CFA

Wi ey | 2010 | ISBN: 0470572299 | 198 pages | PDF | 2,2 MB

Financial markets have always promised, and often delivered, prosperity. But, during the last decade, the structure and behavior of financial markets themselves helped create the conditions for an economic implosion that resulted in a banking crisis, recession, and wholesale loss of investor confidence.
The Handbook of Fixed Income Securities

The Handbook of Fixed Income Securities

The Handbook of Fixed Income Securities by Frank Fabozzi

MG-H | 2005 | ISBN: 0071440992 | 1500 pages | PDF | 11 MB

The world's most trusted fixed income resource for more than two decades, now substantially revised and updated The Handbook of Fixed Income Securities is the investing industry's most authoritative, widely followed fixed income reference. Institutional and individual investors have learned to rely on the handbook for its scope and detail, along with the unquestioned global authority and expertise of its contributors.
Handbook Of Equity Style Management

Handbook of Equity Style Management


Handbook of Equity Style Management
Publisher: Wiley | ISBN: 0471268046 | edition 2003 | PDF | 495 pages | 14 mb


Beginning with the introduction of "value" and "growth" stocks in the late 1930s, expanding to add the concept of "small cap" stocks in the early 1980s, and progressing to the mathematical formalization of Nobel Laureate William Sharpe in the late 1980s, the methodology of equity style is now an integral part of U.S. and non-U.S. equity analysis and portfolio management.
Continuing the tradition of the first and second editions, T. Daniel Coggin and Frank J. Fabozzi have brought together thirty-five leading experts from academia and the investment profession to give you the most comprehensive and up-to-date coverage of the key issues in this rapidly growing field. In one concise volume, you will learn the basics of equity style management and its latest developments.
The Handbook of Commodity Investing

The Handbook of Commodity Investing


The Handbook of Commodity Investing by Frank J. Fabozzi, Roland Fuss, Dieter G. Kaiser


Wiley | 2008 | ISBN: 0470117648 | 986 pages | PDF | 10 MB



Filled with a comprehensive collection of information from experts in the commodity investment industry, this detailed guide shows readers how to successfully incorporate commodities into their portfolios. Created with both the professional and individual investor in mind, The Handbook of Commodity Investments covers a wide range of issues, including the risk and return of commodities, diversification benefits, risk management, macroeconomic determinants of commodity investments, and commodity trading advisors. Starting with the basics of commodity investments and moving to more complex topics, such as performance measurement, asset pricing, and value at risk, The Handbook of Commodity Investments is a reliable resource for anyone who needs to understand this dynamic market.
Handbook of Equity Style Management

Handbook of Equity Style Management

Handbook of Equity Style Management

Publisher: Wiley | ISBN: 0471268046 | edition 2003 | PDF | 495 pages | 14 mb

Beginning with the introduction of "value" and "growth" stocks in the late 1930s, expanding to add the concept of "small cap" stocks in the early 1980s, and progressing to the mathematical formalization of Nobel Laureate William Sharpe in the late 1980s, the methodology of equity style is now an integral part of U.S. and non-U.S. equity analysis and portfolio management. Continuing the tradition of the first and second editions, T. Daniel Coggin and Frank J. Fabozzi have brought together thirty-five leading experts from academia and the investment profession to give you the most comprehensive and up-to-date coverage of the key issues in this rapidly growing field. In one concise volume, you will learn the basics of equity style management and its latest developments.