Derivatives and credit derivatives have emerged as significant areas of interest in portfolio planning and risk management. In this book, Mark Anson
Baby or Bust: Financial Planning for New Parents and Parents-to-be
Having a baby brings with it innumerable direct and indirect expenses, and requires careful financial planning and budgeting. This book is a
Get Rich Slow: Start Now, Start Small to Achieve Real Wealth
This book is intended to inspire and empower the reader to take control of their finances. In particular, letting go of excuses, stop waiting for
It Was a Very Good Year: Extraordinary Moments in Stock Market History
Every so often the stock market takes off, providing investors with an exceptional average return of 35% or more in a single year. This book is the
Bernard M. Baruch: The Adventures of a Wall Street Legend
This is the first book in a new series of classic biographies about the best and the most interesting personalities in the finance and investment
Life, Death and Money: Actuaries and the Development of Social and Financial Markets
Actuaries are experts in assessing risk, so it is not surprising that over the past few years they have become involved in many new areas of
Duration, Convexity, and Other Bond Risk Measures
This book provides comprehensive coverage of all aspects of bond risk measures. The author walks the reader through the price volatility
How to Read a Financial Report: Wringing Vital Signs Out of the Numbers, 6th Edition
Hidden somewhere among all the numbers in a financial report is vitally important information about where a company has been and where it is going.
Contributions to Financial Econometrics: Theoretical and Practical Issues
This prestigious volume presents five state-of-the-art survey papers on time series econometrics, and a modern financial econometrics software