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Investing in Your 20s & 30s For Dummies

Investing in Your 20s and 30s For Dummies provides novice investors with time-tested advice, along with strategies that reflect today’s market conditions. You’ll get no-nonsense guidance on how to invest in stocks, bonds, funds, and even real estate—complete with definitions of all the must-know lingo. You’ll also learn about the latest investment trends, including using robo-advisors to manage your portfolio, relying on apps to make fast trades, and putting your hard-earned cash in digital currencies.

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Investing For Dummies

Investing for your future is wise and essential. Of course, you want to make solid investment choices and minimize mistakes. This updated, best-selling guide educates you on investing concepts and lingo so you can make the best decisions in all economies and markets. Understanding how to find and make smart investments is a skill that can be learned, and this book by money-pro Eric Tyson will help you by discovering how to weigh risk vs. return, offering tips on choosing stocks and funds, getting started in real estate and small business.

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Global investing : A practical guide to the world's best financial opportunities

Relevant information about key stock markets around the world Insights into the underlying dynamics of the world’s major global industries Fulsome discussions on how to evaluate companies within each global industry Advice on how to construct a portfolio of global stocks that will help you to build wealth and protect it during times of stock market weakness Descriptions of free and paid tools that belong on the radar of every successful global investor

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Fundamentals of Financial Instruments : An Introduction to Stocks, Bonds, Foreign Exchange, and Derivatives

Securities.In the newly revised Second Edition of Fundamentals of Financial Instruments: An Introduction to Stocks, Bonds, Foreign Exchange, and Derivatives, renowned finance trainer Sunil Parameswaran delivers a comprehensive introduction to the full range of financial products commonly offered in the financial markets.

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Financial management theory & practice

The company and its environment -- Fixed income securities -- Stocks and options -- Projects and their valuation -- Corporate valuation and governance -- Cash distribution and capital structure -- Managing global operations -- Tactical financing decisions -- Strategic finance in a dynamic environment -- Special topics

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Field Measurements for Forest Carbon Monitoring : A Landscape-Scale Approach

This volume is a comprehensive guide to the methods and techniques employed in forest carbon inventory and monitoring. Since forest carbon research is interdisciplinary, it is unlikely that any one investigator will possess expertise in all of the types of measurements needed to conduct forest carbon research at scales larger than a forest stand. Techniques used to characterize standing stocks of carbon in a forest, measure key carbon fluxes, and collect related data (such as forest canopy nitrogen concentrations and meteorological measurements) that are required to drive process models, develop predictive relationships, and link to remote sensing data are described in detail. In addition to the measurement methods, the chapters include background information, necessary calculations, and equipment requirements.

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Essentials of Excel VBA, Python, and R Vol. I : Financial statistics and portfolio analysis

Teaches statistical analyses and research methods utilizing business case studies and financial data, with the applications of Excel VBA, Python and R. Each chapter engages the reader with sample data drawn from individual stocks, stock indices, options, and futures. Now in its second edition, it has been expanded into two volumes, each of which is devoted to specific parts of the business analytics curriculum. To reflect the current age of data science and machine learning, the used applications have been updated from Minitab and SAS to Python and R.

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Encyclopedia of chart patterns

Within the pages of this book, you’ll learn how to identify chart patterns, supported by easy-to-understand performance statistics describing how well a pattern works, what the failure rate is, and what special quirks suggest better future performance. You’ll discover how often a stop loss order will trigger at various locations within a chart pattern, how the chart pattern’s performance has evolved over the past three decades, and how to profit from failure by trading busted patterns.

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Continuous time processes for finance : Switching, self-exciting, fractional and other recent dynamics

This book explores recent topics in quantitative finance with an emphasis on applications and calibration to time-series. This last aspect is often neglected in the existing mathematical finance literature while it is crucial for risk management. The first part of this book focuses on switching regime processes that allow to model economic cycles in financial markets. After a presentation of their mathematical features and applications to stocks and interest rates, the estimation with the Hamilton filter and Markov Chain Monte-Carlo algorithm (MCMC) is detailed. A second part focuses on self-excited processes for modeling the clustering of shocks in financial markets.

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Management of Technology and Innovation in Japan

Despite the innumerable number of p- lications and recommendations on innovation, competitive innovativeness is still a rare competency. The latest publication of UNICE – the European Industry - ganization representing 20 million large, midsize and small companies – speaks a clear language: Europe qualifies to roughly 60% (70%) of the innovation strength of the US (Japan).

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Baculovirus : Methods and protocols

Provides up-to-date guidance on techniques used to work with baculoviruses and insect cells. The book provides basic methods to create recombinant baculoviruses, to improve productivity, to produce a variety of products, to purify products, to quantify baculovirus stocks or to quantify product produced, and it concludes with alternative uses of either baculovirus or insect cells as tools. Written for the highly successful Methods in Molecular Biology series, chapters include introductions to their respective topics, lists of the necessary materials and reagents, step-by-step and readily reproducible laboratory protocols, and tips on troubleshooting and avoiding known pitfalls.

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Asia-Pacific fishing livelihoods

Where fishing livelihoods come from and where they are going are simple questions with no simple answers. Using examples of small-scale fisheries in Asia-Pacific, Fabinyi and Barclay offer eloquent analyses of how fishing livelihoods are shaped, resting on a relational approach idea

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Alternative investments

Alternative Investments is the definitive guide to understanding non-traditional asset classes. Alternatives are a disparate group of investments that are distinguished from long-only, publicly traded investments in stocks, bonds, and cash (often referred to as traditional investments). Alternative investments include real estate, commodities, infrastructure, and other non-traditional investments such as private equity or debt and hedge funds.

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Advanced REIT Portfolio Optimization : Innovative Tools for Risk Management

This book provides an investor-friendly presentation of the premises and applications of the quantitative finance models governing investment in one asset class of publicly traded stocks, specifically real estate investment trusts (REITs). The models provide highly advanced analytics for REIT investment, including: portfolio optimization using both historic and predictive return estimation; model backtesting; a complete spectrum of risk assessment and management tools with an emphasis on early warning systems, risk budgeting, estimating tail risk, and factor analysis; derivative valuation; and incorporating ESG ratings into REIT investment.

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