• Strategies for Investing Globally: Future of Markets and Investment Outlook – John Bogle (1997)
  • THE SCIENCE OF GETTING RICH – FULL AudioBook w/ Transcript by Wallace D. Wattles – Money & Investing
  • HOW TO ANALYZE PEOPLE ON SIGHT – FULL AudioBook – Human Analysis, Psychology, Body Language
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The stock-investing classic–UPDATED TO HELP YOU WIN IN TODAY'S CHAOTIC GLOBAL ECONOMY
Much has changed since the last edition of Stocks for the Long Run. The financial crisis, the deepest bear market since the Great Depression, and the continued growth of the emerging markets are just some of the contingencies directly affecting every portfolio in the world.
To help you navigate markets and make the best investment decisions, Jeremy Siegel has updated his bestselling guide to stock market investing.
This new edition of Stocks for the Long Run answers all the important questions of today: How did the crisis alter the fi nancial markets and the future of stock returns? What are the sources of long-term economic growth? How does the Fed really impact investing decisions? Should you hedge against currency instability?
Stocks for the Long Run, Fifth Edition, includes brand-new coverage of:
THE FINANCIAL CRISIS

Siegel provides an expert’s analysis of the most important factors behind the crisis; the state of current stability/instability of the financial system and where the stock market fits in; and the viability of value investing as a long-term strategy.
CHINA AND INDIA

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Is your portfolio in peak health?
Ranking among the world's largest markets, the $2.5 trillion health care industry is growing at an unprecedented rate. According to Miller Tabak + Co.'s health care strategist Les Funtleyder, major structural renovations to the system are imminent. “Health care is entering an era of reform,” Funtleyder writes, “and with reform comes change and the opportunity for investment gain.”
Health-Care Investing provides a thorough explanation of how the industry's mammoth size and complexity can be worked to your advantage and why health care is more resistant to changes in economic cycles than other markets. Funtleyder gives you a comprehensive overview of the industry, from both macro and micro points of view, so you can make informed decisions regarding your investments. You'll find critical information concerning The natural inelasticity of health care and how to profit from it How to take advantage of the market's complexities and inefficiencies Issues and policy changes you need to know The social responsibility aspect of investing in health care Why this market is essential for diversified portfolios
In Health-Care Investing, Funtleyder provides the tools you need to dig up the richest opportunities possible and build them into your investment strategy. You'll get a detailed look at traditional market patterns and the events that have shaped–and will continue to shape–the industry. Then you'll find specific strategies you can use to maximize your profits, whether you invest in pharma, biotech, managed services, or a combination of them. This informative and practical guide also includes a list of questions you can use as an investment “template,” which will help guide your decision-making process.
With Health Care Investing, you'll be armed with the know-how to make the right decisions today in order to fully capitalize on events of the future.

  • 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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[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.
  • Investing in Credit Hedge Funds An In Depth Guide to Building Your Portfolio and Profiting from the
  • Investing in Credit Hedge Funds An In Depth Guide to Building Your Portfolio and Profiting from the
  • Investing in Credit Hedge Funds An In Depth Guide to Building Your Portfolio and Profiting from the
  • Hedge Funds Nuts & Bolts: Direct Lending Funds
  • Investing for Change Profit from Responsible Investment
  • William Ackman: Everything You Need to Know About Finance and Investing in Under an Hour
  • INVESTING IN A VACATION HOME FOR PLEASURE AND PROFIT
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  • Michael Sonenshine – Hedge funds and importance of credit analysis
  • Alain De Coster: Institutions shift to long-short hedge funds for equity exposure
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THE DEFINITIVE GUIDE TO CREATING A POWERFUL STRATEGY FOR INVESTMENTS IN CREDIT HEDGE FUNDS
Following the credit crisis that rocked the global markets, many investors were left with a great sense of unease. However, when faced with historically low interest rates in a world awash with liquidity, they flocked back into the credit market.

But this wave of liquidity will soon come to an end. Investors are grappling with their need for return generation while trying to navigate an increasingly volatile credit market. Given its inherent flexibility, the hedge fund structure is ideal for investing in the credit market.

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  • Building Financial Models McGraw Hill Finance & Investing
  • Building Financial Models McGraw Hill Finance & Investing
  • Building Financial Models McGraw Hill Finance & Investing
  • McGraw Hill Financial – Beijing Community Impact 2015
  • Paul Doherty Interview McGraw-Hill Financial Smart Cities
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  • Building Customer brand Relationships
  • Certified Financial Modelling Masterclass 2012
  • WEBINAR: Asset Management Core Component 4 – Life Cycle Costs
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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.