• Security Analysis Sixth Edition, Foreword by Warren Buffett Security Analysis Prior Editions
  • Security Analysis Sixth Edition, Foreword by Warren Buffett (Security Analysis Prior Editions)
  • Security Analysis Sixth Edition, Foreword by Warren Buffett Security Analysis Prior Editions
  • Security Analysis Sixth Edition, Foreword by Warren Buffett Security Analysis Prior Editions
  • Security Analysis Sixth Edition, Foreword by Warren Buffett Security Analysis Prior Editions
  • Security Analysis: Sixth Edition, Foreword by Warren Buffett (Security Analysis Prior Editions)
  • Security Analysis Sixth Edition Foreword by Warren Buffett Security Analysis Prior Editions
  • Security Analysis Sixth Edition, Foreword by Warren Buffett Security Analysis Prior Editions
  • Security Analysis Sixth Edition, Foreword by Warren Buffett Security Analysis Prior Editions
  • Security Analysis Sixth Edition, Foreword by Warren Buffett Security Analysis Prior Editions
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"A road map for investing that I have now been following for 57 years."

–From the Foreword by Warren E. Buffett
First published in 1934, Security Analysis is one of the most influential financial books ever written. Selling more than one million copies through five editions, it has provided generations of investors with the timeless value investing philosophy and techniques of Benjamin Graham and David L. Dodd.
As relevant today as when they first appeared nearly 75 years ago, the teachings of Benjamin Graham, “the father of value investing,” have withstood the test of time across a wide diversity of market conditions, countries, and asset classes.
This new sixth edition, based on the classic 1940 version, is enhanced with 200 additional pages of commentary from some of today’s leading Wall Street money managers. These masters of value investing explain why the principles and techniques of Graham and Dodd are still highly relevant even in today’s vastly different markets. The contributor list includes: Seth A. Klarman, president of The Baupost Group, L.L.C. and author of Margin of Safety James Grant, founder of Grant's Interest Rate Observer, general partner of Nippon Partners Jeffrey M. Laderman, twenty-five year veteran of BusinessWeek Roger Lowenstein, author of Buffett: The Making of an American Capitalist and When America Aged and Outside Director, Sequoia Fund Howard S. Marks, CFA, Chairman and Co-Founder, Oaktree Capital Management L.P. J. Ezra Merkin, Managing Partner, Gabriel Capital Group . Bruce Berkowitz, Founder, Fairholme Capital Management. Glenn H. Greenberg, Co-Founder and Managing Director, Chieftain Capital Management Bruce Greenwald, Robert Heilbrunn Professor of Finance and Asset Management, Columbia Business School David Abrams, Managing Member, Abrams Capital
Featuring a foreword by Warren E. Buffett (in which he reveals that he has read the 1940 masterwork “at least four times”), this new edition of Security Analysis will reacquaint you with the foundations of value investing—more relevant than ever in the tumultuous 21st century markets.

  • 快樂不來自財富,源於自己:許仲翔 (Jason Hsu) at TEDxTaipei 2012
  • Probability of default
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Amazon Price: N/A (as of June 11, 2018 5:27 am – Details). Product prices and availability are accurate as of the date/time indicated and are subject to change. Any price and availability information displayed on the Amazon site at the time of purchase will apply to the purchase of this product.
[flap] For investors, risk is about the odds of losing money, and Value at Risk (VaR) is grounded in that common-sense fact. VAR modeling answers, “What is my worst-case scenario?” and “How much could I lose in a really bad month?”
However, there has not been an effective guidebook available to help investors and financial managers make their own VaR calculations–until now.
The VaR Implementation Handbook is a hands-on road map for professionals who have a solid background in VaR but need the critical strategies, models, and insights to apply their knowledge in the real world.
Heralded as “the new science of risk management,” VaR has emerged as the dominant methodology used by financial institutions and corporate treasuries worldwide for estimating precisely how much money is at risk each day in the financial markets. The VaR Implementation Handbook picks up where other books on the subject leave off and demonstrates how, with proper implementation, VaR can be a valuable tool for assessing risk in a variety of areas-from equity to structured and operational products.
This complete guide thoroughly covers the three major areas of VaR implementation–measuring, modeling risk, and managing–in three convenient sections. Savvy professionals will keep this handbook at their fingertips for its: Reliable advice from 40 recognized experts working in universities and financial institutions around the world Effective methods and measures to ensure that implemented VaR models maintain optimal performance Up-to-date coverage on newly exposed areas of volatility, including derivatives
Real-world prosperity requires making informed financial decisions. The VaR Implementation Handbook is a step-by-step playbook to getting the most out of VaR modeling so you can successfully manage financial risk.
  • Jack Schwager’s Complete Guide to Mastering the Markets
  • Jack Schwager’s Complete Guide to Mastering the Markets
  • Introduction to Technical Analysis for Beginners
  • 15 Must read books – Best Stock Market books
  • The Alchemy of Finance by George Soros Full Audiobook
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  • Guide to "How I Made $2,000,000 In The Stock Market" by Nicolas Darvas (1 of 11)
  • BACKTEST LIKE A PRO (MetaTrader 4)
  • 5m Chart Opening Range Forex Trading based on Toby Crabel theory
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Amazon Price: $495.00 $88.54 You save: $406.46 (82%). (as of June 10, 2018 10:08 am – Details). Product prices and availability are accurate as of the date/time indicated and are subject to change. Any price and availability information displayed on the Amazon site at the time of purchase will apply to the purchase of this product.

A twenty-four lesson tutorial in how to profit from the trading secrets of all time
Run time: 367 minutes. Imagine having an in-depth conversation with not one, but dozens of the world's greatest traders. Jack Schwager has, and over the course of his three best-selling "Market Wizards" books he has revealed the trade secrets of the trading superstars. The distillation of Schwager’s years of in-depth research, this DVD provides you with a comprehensive, 24-lesson home-study workshop—making it easier than ever for you to profit. It arms you with proven techniques, insider knowledge and the confidence you need to create a complete program for trading success. Features Schwager's trademark point-by-point, lesson-by-lesson thoroughness, easy-to-follow instruction, and tons of real-life examples Provides you with everything needed to create a winning trading strategy tailored to your unique needs, goals and temperament Show you how to build an automated trading system (ATS), incorporate technical analysis into your trading program, master money management techniques, read and evaluate data, refine exit strategies and much more Covers an array of advanced topics, including charting methods, using filters to analyze data, trend-following systems and pattern systems Companion website features an online Chart Companion that lets you to study each example in greater detail and bonus lessons on how to program, test, and analyze data using your own ATS

  • Building Financial Models McGraw Hill Finance & Investing
  • Building Financial Models McGraw Hill Finance & Investing
  • Building Financial Models McGraw Hill Finance & Investing
  • Building Financial Models McGraw Hill Finance & Investing
  • FIN 300 – Financial Planning Example 2 with External Financing (EFN) – Ryerson University
  • An Introductory Overview of External Financing
  • Fundamentals Of Investment Management Irwin Mcgraw Hill Series in Finance, Insurance and Real Estate
  • Principles of Corporate Finance The Mcgraw Hill Irwin Series in Finance, Insurance, and Real Estate
  • A Few Hares to Chase The Life and Times of Bill Phillips
  • Best Practices for Equity Research Analysts
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The ability to effectively create and interpret financial models is one of the most valued skills in corporate finance–from Wall Street to Main Street. Now, the acclaimed guide to designing, building, and implementing valuation projection models is fully revised and expanded to keep finance and accounting professionals competitive in today's marketplace.
This second edition of Building Financial Models continues the tradition of its predecessor by providing a hands-on approach to creating a core model that is supported by broad coverage of cornerstone accounting and finance principles. Additionally, this updated volume features: Entirely new coverage of discounted cash flow (DCF) modeling Excel formulas for making powerful calculations within the spreadsheet In-depth explanations of both the principles and mechanics of projection models
Building Financial Models helps readers practice good thinking and apply sound knowledge of their tools–two key attributes to producing robust and easy-to-use models. This practical guide takes you step by step through the entire process of developing a projection model, with a full chapter dedicated to each phase. By the end, you will have a working, dynamic spreadsheet financial model for making projections for industrial and manufacturing companies.
Furthermore, this Second Edition provides the vocabulary and syntax of model building so you can tailor core models to fit any size company and allow for quick input changes to test sensitivity. The companion website www.buildingfinancialmodel.com offering example spreadsheets will give you a head start on developing your own models.
A flexible and successful financial projection model does more than just add numbers–it explains the complex relationships between those numbers and illuminates ways to use those associations to add value to an enterprise. Building Financial Models is the only book you need to create and implement a fluid financial projection model that is both state of the art and user friendly.

  • Chart Patterns & Trend Action for Forex, CFD and Stock Trading
  • Forex Analysis. Predicting Market Movements with Lines, EUR/USD
  • Beginner Guide to Investing Forex Trading Currency Trading – MAKE THOUSANDS
  • HOW to read the chart candles! Predicting the direction of the currency pair!
  • Forex Trading: How To Make A Trading Prediction
  • Introduction to Technical Analysis for Beginners
  • Trading Price Action Patterns for the Stock Market and Forex Market
  • Trading 212: How to Read Japanese Candlestick Charts?
  • Top 3 Technical Analysis Indicators (Ultimate Guide)
  • Forex Basics For Beginners
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Amazon Price: $98.00 (as of June 10, 2018 7:02 pm – Details). Product prices and availability are accurate as of the date/time indicated and are subject to change. Any price and availability information displayed on the Amazon site at the time of purchase will apply to the purchase of this product.

This book will show you how to find trade and investment opportunities in the financial markets.
The very nature of trading and investing makes it a difficult business. The uncontrollable human emotions that rotate around greed, fear, and hope, are the elements of the human reaction in the markets that form the same repetitive scenarios time and time again.
This book demonstrates how a few relatively straight forward techniques can create a technical plan that will eliminate the emotional element. It will show you how to find opportunities in the market that are ever present and help to prevent trade and investments becoming subject to irrational thinking brought about by heightened emotions during moments of volatile market conditions.
Finding opportunities within the financial markets is about interpreting the price action. This book demonstrates that by observing certain chart techniques, markets that are changing from bullish to bearish and bearish to bullish can be interpreted in light of the change in market sentiment and produce early warning signals. Entry and exit points can then be located and positions that are already in the markets can be monitored for signs of change or weakness. This book will equip you with the skills to create a plan that can be forged and implemented to make the entire process of trading and investing easier.
By reading this book you will be introduced to some of the familiar chart techniques in such a way that it will not take long to understand how best to apply these techniques to your own charts and study them for potential market opportunities. This book does not dwell on the already known signals and techniques but instead concentrates on demonstrating their use and how to confirm the signals with a variety of techniques that have stood the test of time, pulling them together to create a technical picture that visually displays a change in market sentiment and a plan for trading and investing the markets.
These techniques are covered in a step-by-step process through the chapters of the book that include exercises to test your knowledge as the book proceeds. By learning to read charts you too can find great trade and investment opportunities.

  • IFA.tv – The Documentary Film: Index Funds: The 12-Step Recovery Program for Active Investors
  • CFTC’s Market Risk Advisory Committee to Meet on January 31, 2018
  • CFTC’s Technology Advisory Committee Public Meeting on February 14, 2018
  • CalPERS Asset Liability Management Workshop Segment 2
  • CFTC’s Market Risk Advisory Committee to Meet on June 20, 2017
  • Chronic Hazard Advisory Panel: Phthalates AM Session
  • CalPERS Investment Committee – October 14, 2013
  • CalPERS Investment Committee – August 19, 2013
  • Commerce Data Advisory Council – NYC Day 1, May 5, 2016
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Amazon Price: $59.99 $59.99 (as of June 10, 2018 4:13 pm – Details). Product prices and availability are accurate as of the date/time indicated and are subject to change. Any price and availability information displayed on the Amazon site at the time of purchase will apply to the purchase of this product.

Use rule-based investment strategies to maintain trading and investment discipline, and protect yourself from fear, greed, pride, and other costly emotions! Since the mid-1990s, assets under management in rule-based or non-discretionary hedge funds have outgrown those in discretionary or qualitative funds. Recent research shows that rule-based funds have outperformed discretionary funds on a risk-adjusted basis over the past 30 years, and have especially outperformed during recent financial crises. This is the first comprehensive guide to designing and applying these sophisticated strategies. Combining academic rigor and practical applications, it explains what rule-based investment strategies are, how to construct them, and how to distinguish bad ones from good ones. Unlike any other guide, it systematically covers every facet of the topic, including Forex, rates, emerging markets, equity, volatility, and other key topics. Credit Suisse head of global strategy and modeling, Chiente Hsu, covers carry, momentum, seasonality, and value-based strategies; as well as the construction of portfolios of rule-based strategies that support diversification. Replete with realistic examples, this book will be a valuable resource for everyone concerned with effective investing, from traders to specialists in applied corporate finance.