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An essential reference for practitioners and students of quantitative financeFinancial analysts and investment bankers rely greatly upon the mathematical finance (also known as computational finance) when seeking to establish the value of financial instruments. Nowhere is that more true than in the pricing of commodity and foreign exchange derivatives. While there are many guides to pricing commodity and foreign exchange derivatives, until now there were none whose focus is on making the complex mathematics involved accessible for students and practitioners. This fourth and final volume in the landmark Problems and Solutions in Mathematical Finance series does just that. Its unique problem/solution, step-by-step approach dramatically streamlines the learning process for anyone attempting to get to grips with the mathematical modeling of commodity and foreign exchange derivatives.Builds upon the ideas in the previous three volumes to school you in the essential mathematical concepts and
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How to spot patterns, identify opportunities, and grow your technical analysis skillsThe Trading Methodologies of W.D. Gann, Second Edition is a detailed yet accessible guide for trading, forecasting, and investing—using the principles of technical analysis to identify opportunities for profit. Beginning in the early 20th century, W.D. Gann developed pioneering methods of technical analysis that continue to hold value for modern traders. Gann’s insights on interpreting market conditions and recognizing patterns are a valuable addition to any trader’s strategy. The often cryptic nature of Gann’s original publications, however, prove challenging to modern readers. This valuable guide demystifies Gann’s techniques, providing clear and concise explanations and easy-to-follow instructions for today’s traders and investors. Expert trader and technical analyst Hima Reddy draws from her extensive experience to provide a systematic approach to Gann’s methodologies. This revised second edition i
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出版日:2025/09/16
作者:Bonnie Worth;
Aristides Ruiz (ILT);
Joe Mathieu (ILT)
出版社:Random House Childrens Books
裝訂:精裝
THE CAT IN the Hat puts to rest any notion that money grows on trees in this super simple look at numismatics, the study of money and its history. Beginning with the ancient practice of bartering, the
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出版日:2024/09/10
作者:Dariusz Wojcik;
Panagiotis Iliopoulos;
Stefanos Ioannou;
Liam Keenan;
Julien Migozzi;
Timothy Monteath;
Vladimir Pazitka
出版社:Yale University Press
裝訂:精裝
A unique illustrated exploration of the development of finance that combines data from every part of the world and covers five thousand years of history “The book is a lot of fun. Data-fixated readers will enjoy unpicking its main content: a series of elegantly produced maps, graphs and other visualisations. These are eclectic in scope and ambitious in intent.”—Jonathan Guthrie, Financial Times From the emergence of money in the ancient world to today’s interconnected landscape of high-frequency trading and cryptocurrency, the story of finance has always taken place on an international stage.Finance is one of the most globalized and networked of human activities, and one of the most important social technologies ever invented. This volume, the first visually based book dedicated to finance, uses graphics and maps to bring the complex and abstract world of finance down to earth, showing how geography is fundamental for understanding finance, and vice versa. It illuminates the people—inc
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From "The Godfather of FI", a follow-up to his international bestselling personal finance sensation The Simple Path to Wealth!Pathfinders brings together scores of amazing and insightful real-life stories from real people on the journey to financial independence-providing practical encouragement and inspiration for anyone who wants to join them. Lighting the way in the real world to The Simple Path to Wealth, these are fascinating, heartfelt, often surprising tales: - of struggles overcome and the rewards that followed - of enterprising solutions to unexpected problems - of sacrifices made and the kindness of strangers - of surprisingly simple steps-and the amazing places they can take youand much, much more. Author JL Collins accompanies these readers' stories with reflections on his "rules for the road"-as well as a candid conversation about the journey to financial freedom with his daughter, the inspiration for his original international bestseller.Pathfinders is the ultimate compan
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Fact: Most people do not beat the market. This book was written to change that statistic and skew the odds of success in your favor. There are many reasons why most people fail to achieve their invest
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Do you want to manage your cashflow better and get rid of financial stress?Do you put finance products such as health insurance and mortgages in the too-hard basket?Money for Nothing is a call to acti
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The ultimate guide for those starting out in trading—now better than ever!Illustrated with plenty of trading examples, sample trading plans, timely charts, tables and figures and insights from market
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What are safe haven investments? What role do they play in a portfolio? Why are they so difficult and counterintuitive to pursue? And, most importantly, how can one build a safer investment portfolio
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Learn all about saving and compounding, budgeting, debt, negotiations, and more in this ultimate guide to finances and money! It's never too early to start saving those dollars! This extensive guide i
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Competitive advantage in banking comes from effective use of technology The Handbook of Banking Technology provides a blueprint for the future of banking, with deep insight into the technologies at th
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Comprehensive coverage of all major structured finance transactions Structured Finance offers a robust core text for undergraduate students in business, economics, management, and finance. Going beyon
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The comprehensive guide to private market asset allocation Asset Allocation and Private Markets provides institutional investors, such as pension funds, insurance groups and family offices, with a sin
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In this book Garbade, a former analyst at a primary dealer and researcher at the Federal Reserve Bank of New York, traces the evolution of open market operations, Treasury debt management, and the microstructure of the US government securities markets following the 1951 Treasury-Federal Reserve. This volume examines how these operations evolved, responding both to external forces and to one another. Utilising a vast scope of primary material, the work provides insight into how officials fashioned the instruments, facilities, and procedures needed to advance their policy objectives in light of their novel freedoms and responsibilities. Students and scholars of macroeconomics, financial regulation, and the history of central banking and the Federal Reserve will find this volume a welcome addition to Garbade's earlier studies of Treasury debt operations during World War I, the 1920s, and the Great Depression and since 1983.
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