Finance and the finance industry Books
Taylor & Francis Ltd Financial Development and Economic Growth in Malaysia
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£142.50
Taylor & Francis The Risk in Risk Management
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£128.25
Taylor & Francis The Risk in Risk Management
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£73.14
Taylor & Francis Money and Markets
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Taylor & Francis Ltd Indias Emerging Financial Market
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£43.99
Taylor & Francis Ltd Financial Development and Economic Growth in Malaysia
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£43.99
Taylor & Francis Game Theory and Exercises
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Taylor & Francis The Microfinance Impact
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£137.75
Taylor & Francis Ltd Financial Modelling and Asset Valuation with Excel
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£171.00
Taylor & Francis Ltd Financial Modelling and Asset Valuation with Excel
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Taylor & Francis Beyond Liquidity
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Taylor & Francis The History of Bankruptcy
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Taylor & Francis Ltd Policing the Markets
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Taylor & Francis Targeting Terrorist Financing
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Taylor & Francis Trust Power and Public Relations in Financial Markets Routledge New Directions in PR Communication Research
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Taylor & Francis Financial Liberalization and Economic Performance
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Taylor & Francis Money Finance and Empire 17901960
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£18.46
Taylor & Francis The Economic Crisis and Governance in the European Union
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£137.75
Taylor & Francis Global Economic Crisis and Local Economic Development
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£142.50
Taylor & Francis Ltd Generalized Optimal Stopping Problems and Financial Markets 358 Chapman HallCRC Research Notes in Mathematics Series
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£116.22
Taylor & Francis The English Capital Market
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£137.75
Taylor & Francis Ltd Managing Finance A Socially Responsible Approach
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£45.59
Taylor & Francis Entrepreneurial Finance
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£82.64
Taylor & Francis Ltd Guide to Optimal Operational Risk and BASEL II
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£114.00
Taylor & Francis Ltd Honoring Differences Cultural Issues in the Treatment of Trauma and Loss Series in Trauma and Loss
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£123.50
Taylor & Francis Ltd Foundations of Quantitative Finance
Book SynopsisEvery finance professional wants and needs a competitive edge. A firm foundation in advanced mathematics can translate into dramatic advantages to professionals willing to obtain it. Many are notand that is the competitive edge these books offer the astute reader.Published under the collective title of Foundations of Quantitative Finance, this set of ten books develops the advanced topics in mathematics that finance professionals need to advance their careers. These books expand the theory most do not learn in graduate finance programs, or in most financial mathematics undergraduate and graduate courses.As an investment executive and authoritative instructor, Robert R. Reitano presents the mathematical theories he encountered and used in nearly three decades in the financial services industry and two decades in academia where he taught in highly respected graduate programs.Readers should be quantitatively literate and familiar with the developments in the
£61.99
Cambridge University Press A Guide to FirstPassage Processes
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£53.19
Cambridge University Press Numerical Methods in Finance 13 Publications of the Newton Institute Series Number 13
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Cambridge University Press Money Employment and Inflation
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Cambridge University Press Some Cambridge Controversies in the Theory of Capital
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Cambridge University Press Financial Markets Liberalisation and the Role of Banks
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£35.14
Cambridge University Press Offshore Finance
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£45.98
Cambridge University Press Households as Corporate Firms An Analysis of Household Finance Using Integrated Household Surveys and Corporate Financial Accounting 46 Econometric Society Monographs Series Number 46
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£25.64
Cambridge University Press From Asian to Global Financial Crisis An Asian Regulators View of Unfettered Finance in the 1990s and 2000s
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Cambridge University Press Strategic Financial Planning over the Lifecycle A Conceptual Approach to Personal Risk Management
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Cambridge University Press Deflation Current and Historical Perspectives Studies in Macroeconomic History
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Cambridge University Press The Origins and Development of Financial Markets and Institutions
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£48.44
Cambridge University Press Risk Management
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Cambridge University Press The BlackScholes Model Mastering Mathematical Finance
Book SynopsisThe BlackâScholes option pricing model is the first and by far the best-known continuous-time mathematical model used in mathematical finance. Here, it provides a sufficiently complex, yet tractable, testbed for exploring the basic methodology of option pricing. The discussion of extended markets, the careful attention paid to the requirements for admissible trading strategies, the development of pricing formulae for many widely traded instruments and the additional complications offered by multi-stock models will appeal to a wide class of instructors. Students, practitioners and researchers alike will benefit from the book's rigorous, but unfussy, approach to technical issues. It highlights potential pitfalls, gives clear motivation for results and techniques and includes carefully chosen examples and exercises, all of which make it suitable for self-study.Table of ContentsPreface; 1. Introduction; 2. Strategies and risk-neutral probability; 3. Option pricing and hedging; 4. Various extensions and applications; 5. Path-dependent options; 6. General models; Index.
£37.37
Cambridge University Press Probability for Finance
Book SynopsisStudents and instructors alike will benefit from this rigorous, unfussy text, which keeps a clear focus on the basic probabilistic concepts required for an understanding of financial market models, including independence and conditioning. Assuming only some calculus and linear algebra, the text develops key results of measure and integration, which are applied to probability spaces and random variables, culminating in central limit theory. Consequently it provides essential prerequisites to graduate-level study of modern finance and, more generally, to the study of stochastic processes. Results are proved carefully and the key concepts are motivated by concrete examples drawn from financial market models. Students can test their understanding through the large number of exercises and worked examples that are integral to the text.Table of ContentsPreface; 1. Probability space; 2. Probability distributions and random variables; 3. Product measure and independence; 4. Conditional expectation; 5. Sequences of random variables; Index.
£37.37
Cambridge University Press An Elementary Introduction to Mathematical Finance
Book SynopsisThis textbook on the basics of option pricing is accessible to readers with limited mathematical training. It is for both professional traders and undergraduates studying the basics of finance. This third edition includes three new chapters, along with expanded sets of exercises and references for all the chapters.Trade Review'… an excellent introduction to the subject … the book is ideally suited for self-study and provides a very accessible entry point to this fascinating field.' ISI Short Book Reviews'… this excellent text achieves its aim to provide a highly accessible and at the same time accurate presentation of the subject. I would recommend it.' The Statistician'… an excellent introduction to the mathematics of finance … very useful as a text for an introductory course.' Zentralblatt Math'… provides an accessible and relatively deep insight into basic and advanced topics of mathematical finance … The lucid style of the exposition will be appreciated by readers interested in the topic, and by researchers, students, and practitioners.' European Maths Society JournalTable of Contents1. Probability; 2. Normal random variables; 3. Geometric Brownian motion; 4. Interest rates and present value analysis; 5. Pricing contracts via arbitrage; 6. The Arbitrage Theorem; 7. The Black–Scholes formula; 8. Additional results on options; 9. Valuing by expected utility; 10. Stochastic order relations; 11. Optimization models; 12. Stochastic dynamic programming; 13. Exotic options; 14. Beyond geometric motion models; 15. Autoregressive models and mean reversion.
£55.09
Cambridge University Press The Development of American Finance
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£85.50
Cambridge University Press Households as Corporate Firms An Analysis of Household Finance Using Integrated Household Surveys and Corporate Financial Accounting 46 Econometric Society Monographs Series Number 46
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£89.87
Cambridge University Press Financial Markets Liberalisation and the Role of Banks
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£104.50
Cambridge University Press International Financial Markets The Performance of Britain and its Rivals 45 National Institute of Economic and Social Research Occasional Papers Series Number 45
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£64.59
Cambridge University Press Capital Markets and Financial Intermediation
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£104.50
Cambridge University Press Elusive Stability
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Cambridge University Press The Rise of Financial Capitalism
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