Bokus

Wiley Finance

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  1. Study Guide for Trading for a Living: Psychology, Trading Tactics, Money Management

    Study Guide for Trading for a Living: Psychology, Trading Tactics, Money Management

    Del 9 · Alexander Elder · 1993

  2. Mathematics of Money Management

    Mathematics of Money Management

    Del 18 · Ralph Vince · 1992

  3. Option Market Making

    Option Market Making

    Del 21 · Allen Jan Baird · 1992

  4. Fractal Market Analysis

    Fractal Market Analysis

    Del 24 · Edgar E. Peters · 1994

  5. Trading for a Living

    Trading for a Living

    Del 31 · Alexander Elder · 1993

  6. Technical Analysis

    Technical Analysis

    Del 43 · Jack D. Schwager · 1995

  7. Beyond Candlesticks

    Beyond Candlesticks

    Del 56 · Steve Nison · 1994

  8. Dynamic Hedging

    Dynamic Hedging

    Del 64 · Nassim Nicholas Taleb · 1997

  9. Gaming the Market

    Gaming the Market

    Del 69 · Ronald B. Shelton · 1997

  10. Applied Mergers and Acquisitions

    Applied Mergers and Acquisitions

    Del 172 · Robert F. Bruner · 2004

  11. Applied Mergers and Acquisitions Workbook

    Applied Mergers and Acquisitions Workbook

    Del 175 · Robert F. Bruner · 2004

  12. Active Value Investing

    Active Value Investing

    Del 293 · Vitaliy N. Katsenelson · 2007

  13. History of Interest Rates

    History of Interest Rates

    Del 322 · Sidney Homer, Richard Sylla · 2005

  14. Volatility Surface

    Volatility Surface

    Del 357 · Jim Gatheral · 2006

  15. Free Cash Flow

    Free Cash Flow

    Del 484 · George C. Christy · 2009

  16. Art of Value Investing

    Art of Value Investing

    Del 531 · John Heins, Whitney Tilson · 2013

  17. Price Advantage

    Price Advantage

    Del 535 · Walter L. Baker, Michael V. Marn, Craig C. Zawada · 2010

  18. Hedge Fund Book

    Hedge Fund Book

    Del 595 · Richard C. Wilson · 2010

  19. Ben Graham Was a Quant

    Ben Graham Was a Quant

    Del 600 · Steven P. Greiner · 2011

  20. Financial Risk Manager Handbook, + Test Bank

    Financial Risk Manager Handbook, + Test Bank

    Del 625 · Philippe Jorion, GARP (Global Association of Risk Professionals) · 2010

  21. Small-Cap Advantage

    Small-Cap Advantage

    Del 645 · Brian Bares · 2011

  22. Mergers & Acquisitions Integration Handbook, + Website

    Mergers & Acquisitions Integration Handbook, + Website

    Del 657 · Scott C. Whitaker · 2012

  23. Behavioral Finance and Wealth Management

    Behavioral Finance and Wealth Management

    Del 667 · Michael M. Pompian · 2012

  24. Bank Credit Analysis Handbook

    Bank Credit Analysis Handbook

    Del 675 · Jonathan Golin, Philippe Delhaise · 2013

  25. Frontiers of Modern Asset Allocation

    Frontiers of Modern Asset Allocation

    Del 713 · Paul D. Kaplan · 2011

  26. Private Equity Operational Due Diligence, + Website

    Private Equity Operational Due Diligence, + Website

    Del 731 · Jason A. Scharfman · 2012

  27. Family Office Book

    Family Office Book

    Del 775 · Richard C. Wilson · 2012

  28. Modern Portfolio Theory, + Website

    Modern Portfolio Theory, + Website

    Del 795 · Jack Clark Francis, Dongcheol Kim · 2013

  29. Quantitative Value, + Web Site

    Quantitative Value, + Web Site

    Del 836 · Wesley R. Gray, Tobias E. Carlisle · 2012

  30. Investment Valuation

    Investment Valuation

    Aswath Damodaran · 2025

  31. Investment Banking

    Investment Banking

    Joshua Rosenbaum, Joshua Pearl · 2021

  32. xVA Challenge

    xVA Challenge

    Jon Gregory · 2020

  33. M&A

    M&A

    Jeffrey C. Hooke · 2014

  34. Investment Philosophies

    Investment Philosophies

    Aswath Damodaran · 2026

  35. Valuation

    Valuation

    Tim Koller, Marc Goedhart, David Wessels · 2025

  36. Investor Behavior

    Investor Behavior

    H. Kent Baker, Victor Ricciardi · 2014

  37. Interest Rate Risk in the Banking Book

    Interest Rate Risk in the Banking Book

    Beata Lubinska · 2021

  38. Valuation: Measuring and Managing the Value of Companies, University Edition

    Valuation: Measuring and Managing the Value of Companies, University Edition

    Tim Koller, Marc Goedhart, David Wessels · 2025

  39. Financial Statement Analysis

    Financial Statement Analysis

    Martin S. Fridson, Fernando Alvarez · 2022

  40. Enterprise Risk Management

    Enterprise Risk Management

    James Lam · 2014

  41. Risk Management and Financial Institutions

    Risk Management and Financial Institutions

    John C. Hull · 2023

  42. Deep Learning in Quantitative Finance

    Deep Learning in Quantitative Finance

    Andrew Green · 2026

  43. Using Excel for Business and Financial Modelling

    Using Excel for Business and Financial Modelling

    Danielle Stein Fairhurst · 2019

  44. Collateral Management

    Collateral Management

    Michael Simmons · 2019

  45. Leveraged Buyouts, + Website

    Leveraged Buyouts, + Website

    Paul Pignataro · 2013

  46. Trading Fixed Income and FX in Emerging Markets

    Trading Fixed Income and FX in Emerging Markets

    Dirk Willer, Ram Bala Chandran, Kenneth Lam · 2020

  47. Operational Risk Management

    Operational Risk Management

    Philippa X. Girling · 2022

  48. Financial Modeling and Valuation

    Financial Modeling and Valuation

    Paul Pignataro · 2022

  49. Principles of Banking

    Principles of Banking

    Moorad Choudhry · 2022

  50. Fixed Income Securities

    Fixed Income Securities

    Bruce Tuckman, Angel Serrat · 2022

  51. Moorad Choudhry Anthology, + Website

    Moorad Choudhry Anthology, + Website

    Moorad Choudhry · 2018

  52. Merger Arbitrage

    Merger Arbitrage

    Thomas Kirchner · 2016

  53. Mathematical Techniques in Finance

    Mathematical Techniques in Finance

    Amir Sadr · 2022

  54. Volatility

    Volatility

    Adam S. Iqbal · 2018

  55. Credit Investor's Handbook

    Credit Investor's Handbook

    Michael Gatto · 2024

  56. Bayesian Risk Management

    Bayesian Risk Management

    Matt Sekerke · 2015

  57. Private Equity Compliance

    Private Equity Compliance

    Jason A. Scharfman · 2018

  58. Quantitative Financial Risk Management

    Quantitative Financial Risk Management

    Michael B. Miller · 2018

  59. Lessons in Corporate Finance

    Lessons in Corporate Finance

    Paul Asquith, Lawrence A. Weiss · 2019

  60. Deep Value

    Deep Value

    Tobias E. Carlisle · 2014

  61. Financial Management

    Financial Management

    Jack Alexander · 2024

  62. Elements of Quantitative Investing

    Elements of Quantitative Investing

    Giuseppe A. Paleologo · 2025

  63. Valuation Workbook

    Valuation Workbook

    Tim Koller, Marc Goedhart, David Wessels, Michael Cichello · 2025

  64. Investment Banking Workbook

    Investment Banking Workbook

    Joshua Rosenbaum, Joshua Pearl, Joseph Gasparro · 2021

  65. Financial Planning & Analysis and Performance Management

    Financial Planning & Analysis and Performance Management

    Jack Alexander · 2018

  66. Balanced Asset Allocation

    Balanced Asset Allocation

    Alex Shahidi · 2014

  67. Quantitative Momentum

    Quantitative Momentum

    Wesley R. Gray, Jack R. Vogel · 2016

  68. End of Accounting and the Path Forward for Investors and Managers

    End of Accounting and the Path Forward for Investors and Managers

    Baruch Lev, Feng Gu · 2016

  69. Private Debt

    Private Debt

    Stephen L. Nesbitt · 2023

  70. Inside the Black Box

    Inside the Black Box

    Rishi K. Narang · 2024

  71. Modern Asset Allocation for Wealth Management

    Modern Asset Allocation for Wealth Management

    David M. Berns · 2020

  72. Private Equity Toolkit

    Private Equity Toolkit

    Tamara Sakovska · 2022

  73. Value Investing

    Value Investing

    Bruce C. Greenwald, Judd Kahn, Erin Bellissimo, Mark A. Cooper, Tano Santos · 2020

  74. Strategic Risk Management

    Strategic Risk Management

    Campbell R. Harvey, Sandy Rattray, Otto Van Hemert · 2021