Showing posts with label Finances and Money. Show all posts
Showing posts with label Finances and Money. Show all posts

Monday, 14 March 2011

Currencies and Crises



Currencies and Crises
Paul Krugman | 1992-01-01 00:00:00 | The MIT Press | 538 | Finances and Money
Paul Krugman's first collection of essays, Rethinking International Trade, mounted a spirited assault on established trade theory and proposed an alternative approach to account for increasing returns and imperfect competition. Less theoretical and more embedded in real-world experience, this new collection revolves around Krugman's work on international monetary economics from the late 1970s to the present in an effort to make sense of a turbulent period that "involved one surprise after another, most of them unpleasant." The eleven essays cover such key areas as the role of exchange rates in balance-of-payments adjustment policy, the role of speculation in the functioning of exchange rate regimes, Third World debt, and the construction of an international monetary system. They are unified by the same basic methodology and style the construction of a small theoretical model in order to simplify or clarify a puzzling or difficult world monetary problem. Paul R. Krugman is Professor of Economics at the Massachusetts Institute of Technology and a member of the Group of Thirty.
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Friday, 11 March 2011

The Guerrilla Marketing Handbook



The Guerrilla Marketing Handbook
Seth Godin | 1994-11-19 00:00:00 | | 0 | Finances and Money
Jay Levinson's book is, like the others, filled with user-friendly directions on marketing YOUR business. His style is fun and friendly, like he is sitting in the room with you. The material is explained clearly, with examples, and represents techniques that work in business for you, the reader. If you put only a few of these valuable techniques to work, the book will be worth thousands of dollars in revenues for you.
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Tuesday, 8 March 2011

The ETF Handbook: How to Value and Trade Exchange Traded Funds



The ETF Handbook: How to Value and Trade Exchange Traded Funds
David J. Abner | 2010-01-01 00:00:00 | Wiley | 253 | Finances and Money
The first technical guide to ETFs geared towards professional advisors, institutional investors, and financial professionals seeking to understand the mechanics of ETFs

Author/trader Dave Abner has created The ETF Handbook as a resource for everyone utilizing these sophisticated tools. With this book as your guide, you'll learn from a professional ETF trader with practical guidance for valuation and best execution techniques.

This reliable handbook skillfully touches upon the technical details of ETFs not covered elsewhere. From the mechanics of ETF development to pricing and valuation techniques, this guide pres a complete background on ETF mechanics and offers extensive insights on using them from a professional's perspective. It addresses how to position ETFs efficiently within a portfolio, and examines who ETF users are and how the funds are employed. Along the way, Abner also offers recommendations on where to find data related to these financial instruments.
Contains the technical ETF information needed by today's financial professionals
Includes pricing and valuation spreadsheets and an instructional webinar that walks you through the world of ETFs
Touches upon topics such as calculating NAV (net asset value) and best practices for executing ETF order flow

Filled with in-depth insights and expert advice, The ETF Handbook contains ETF information that is critical for virtually every financial professional.
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Saturday, 5 March 2011

A Text Book of Banking and Finance


A Text Book of Banking and Finance
N. K. Sharma | 2009-01-01 00:00:00 | Sunrise Publishers & Distributors | 489 | Finances and Money
CONTENTS

1. Introduction 1
2. Banking Regulation Act - 1949 17
3. Banker-Customer Relationship 35
4. Requisites of a Cheque 61
5. Promissory Notes 72
6. Endorsements and Crossings 83
7. Reserve Bank of India and Its Role 104
8. E-Banking and Innovative Banking 113
9. Regional Rural Banks 137
10. Credit Creition by Commercial Banks 147
11. Credit to Priority and Neglected Sectors 167
12. Other Borrowers in Priority Sector 179
13. Guarantee of Loans for Small-Scale Industries 195
14. Credit Guarantee for Service Co-Operatives 209
15. Commercial Banking in India 222
16. Nationalised Commercial Banks 237
17. Regional Rural Banks 263

18. Role of Development Banking
19. Development Banking in India an Assessment
20. Importance of Money
21. Circular Flow of Money
22. Value of Money
23. Kinds of Money
24. Failure of Monetarism
25. Theory of Money
26. India's Development Finance
27. State Finances
28. Local Governments Finance in India
29. Public Enterprises in India
30. Co-operative Banks
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Dynamic Hedging: Managing Vanilla and Exotic Options



Dynamic Hedging: Managing Vanilla and Exotic Options
Nassim Nicholas Taleb | 1997-01-14 00:00:00 | Wiley | 528 | Finances and Money
Product Description
Dynamic Hedging is the definitive source on derivatives risk. It provides a real-world methodology for managing portfolios containing any nonlinear security. It presents risks from the vantage point of the option market maker and arbitrage operator. The only book about derivatives risk written by an experienced trader with theoretical training, it remolds option theory to fit the practitioner's environment. As a larger share of market exposure cannot be properly captured by mathematical models, noted option arbitrageur Nassim Taleb uniquely covers both on-model and off-model derivatives risks.
The author discusses, in plain English, vital issues, including:

The generalized option, which encompasses all instruments with convex payoff, including a trader's potential bonus.
The techniques for trading exotic options, including binary, barrier, multiasset, and Asian options, as well as methods to take into account the wrinkles of actual, non-bellshaped distributions.
Market dynamics viewed from the practitioner's vantage point, including liquidity holes, portfolio insurance, squeezes, fat tails, volatility surface, GARCH, curve evolution, static option replication, correlation instability, Pareto-Levy, regime shifts, autocorrelation of price changes, and the severe flaws in the value at risk method.
New tools to detect risks, such as higher moment analysis, topography exposure, and nonparametric techniques.
The path dependence of all options hedged dynamically
Dynamic Hedging is replete with helpful tools, market anecdotes, at-a-glance risk management rules distilling years of market lore, and important definitions. The book contains modules in which the fundamental mathematics of derivatives, such as the Brownian motion, Ito's lemma, the numeraire paradox, the Girsanov change of measure, and the Feynman-Kac solution are presented in intuitive practitioner's language.

Dynamic Hedging is an indispensable and definitive reference for market makers, academics, finance students, risk managers, and regulators.

The definitive book on options trading and risk management

"If pricing is a science and hedging is an art, Taleb is a virtuoso." —Bruno Dupire, Head of Swaps and Options Research, Paribas Capital Markets

"This is not merely the best book on how options trade, it is the only book." —Stan Jonas, Managing Director, FIMAT-Societe Generale

"Dynamic Hedging bridges the gap between what the best traders know and what the best scholars can prove." —William Margrabe, President, The William Margrabe Group, Inc.

"The most comprehensive, insightful, intuitive work on the subject. It is instrumental for both beginning and experienced traders."—

"A tour de force. That rare find, a book of great practical and theoretical value. Taleb successfully bridges the gap between the academic and the real world. Interesting, provocative, well written. Each chapter worth a fortune to any current or prospective derivatives trader."—Victor Niederhoffer, Chairman, Niederhoffer Investments

From the Publisher
Written by a leading options trader and derivatives risk advisor to global banks and exchanges, this book provides a practical, real-world methodology for monitoring and managing all the risks associated with portfolio management. Fills a big gap in investment literature--the only book to share complex options trading strategies and advanced risk management methods with trading professionals.
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Monday, 21 February 2011

Understanding the Process of Economic Change



Understanding the Process of Economic Change
Douglass C. North | 2005-01-01 00:00:00 | Princeton University Press | 208 | Finances and Money
In this landmark work, a Nobel Prize-winning economist develops a new way of understanding the process by which economies change. Douglass North inspired a revolution in economic history a generation ago by demonstrating that economic performance is determined largely by the kind and quality of institutions that support markets. As he showed in two now classic books that inspired the New Institutional Economics (today a subfield of economics), property rights and transaction costs are fundamental determinants. Here, North explains how different societies arrive at the institutional infrastructure that greatly determines their economic trajectories.

North argues that economic change depends largely on "adaptive efficiency," a society's effectiveness in creating institutions that are productive, stable, fair, and broadly accepted--and, importantly, flexible enough to be changed or replaced in response to political and economic feedback. While adhering to his earlier definition of institutions as the formal and informal rules that constrain human economic behavior, he extends his analysis to explore the deeper determinants of how these rules evolve and how economies change. Drawing on recent work by psychologists, he identifies intentionality as the crucial variable and proceeds to demonstrate how intentionality emerges as the product of social learning and how it then shapes the economy's institutional foundations and thus its capacity to adapt to changing circumstances.


Understanding the Process of Economic Change accounts not only for past institutional change but also for the diverse performance of present-day economies. This major work is therefore also an essential guide to improving the performance of developing countries.
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Friday, 18 February 2011

Smart Calling: Eliminate the Fear, Failure, and Rejection From Cold Calling



Smart Calling: Eliminate the Fear, Failure, and Rejection From Cold Calling
Art Sobczak | 2010-01-01 00:00:00 | Wiley | 256 | Finances and Money
"Finally, a sales book that makes sense! As a master sales trainer, Art nailed—no, obliterated—the number one fear of selling in this great book: cold calling! Let him teach you to stop cold calling and start Smart Calling!"—LARRY WINGET, television personality and New York Times bestselling author

"Smart Calling is the benchmark as the highest professional standard for effective cold calling. Take the initiative to read and implement Art's rational principles and you will sell much more and develop a prospect base of potential customers who will call you when they are ready to purchase or graciously take your future calls. This is THE BEST sales text I have read in the past twenty years."—REX CASWELL, PhD, VP, LexisNexis Telephone Sales
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Wednesday, 16 February 2011

From Marx and Mao to the Market: The Economics and Politics of Agricultural Transition



From Marx and Mao to the Market: The Economics and Politics of Agricultural Transition
Johan Swinnen | 2006-01-01 00:00:00 | Oxford University Press | 240 | Finances and Money
Studying agrarian transition in more than 25 countries from Central and Eastern Europe, the former Soviet Union, and East Asia, this book is the first effort to analyze the economics and politics of the reforms in agriculture by comparing the reform processes, their causes and their effects across this vast region.
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Sunday, 13 February 2011

Forex Conquered: High Probability Systems and Strategies for Active Traders



Forex Conquered: High Probability Systems and Strategies for Active Traders
John L. Person | 1900-01-01 00:00:00 | Wiley | 304 | Finances and Money
* Publisher: Wiley
* Number Of Pages: 304
* Publication Date: 2007-03-30
* ISBN-10 / ASIN: 0470097795
* ISBN-13 / EAN: 9780470097793
* Binding: Hardcover
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Friday, 11 February 2011

Introduction to Stochastic Calculus Applied to Finance (Stochastic Modeling)



Introduction to Stochastic Calculus Applied to Finance (Stochastic Modeling)
Damien Lamberton, Bernard Lapeyre, Nicolas Rabeau, Francois Mantion | 1996-06-13 00:00:00 | Springer | 200 | Finances and Money
In recent years the growing importance of derivative products financial markets has increased financial institutions' demands for mathematical skills. This book introduces the mathematical methods of financial modelling with clear explanations of the most useful models. Introduction to Stochastic Calculus begins with an elementary presentation of discrete models, including the Cox-Ross-Rubenstein model. This book will be valued by derivatives trading, marketing, and research divisions of investment banks and other institutions, and also by graduate students and research academics in applied probability and finance theory.
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Wednesday, 26 January 2011

The Happy Minimalist: Financial independence, Good health, and a better planet for us all



The Happy Minimalist: Financial independence, Good health, and a better planet for us all
Peter Lawrence | 2008-01-01 00:00:00 | | 108 | Finances and Money
The life of a minimalist does not have to be deprived. It is simple living focused on what is truly needed to make you happy. It can be filled with enriching experiences, as demonstrated by Peter's life. Of humble beginnings, Peter is currently financially independent-not through winning a lottery, inheriting wealth, or joining a start-up. In this book, Peter poses questions, provides facts, and shares his personal experience. It is a timely call to examine one's life, to achieve financial independence, to attain good health, and to create a better planet for all.

"Lawrence's book is short, and his prose is easy and unadorned. Readers may occasionally stumble over an awkward phrase, but they will never doubt the authenticity of the writer or the clarity of his message"
---Received 4 of 5 Stars - reviewed by ForeWord CLARION Reviews

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Tuesday, 25 January 2011

Human Action: A Treatise on Economics



Human Action: A Treatise on Economics
Ludwig Von Mises | 1998-12-01 00:00:00 | Ludwig Von Mises Institute | 912 | Finances and Money
This edition has dusk jacket but no protective slip case!

Human Action: A Treatise on Economics is the most important book on political economy you will ever own. It was (and remains) the most comprehensive, systematic, forthright, and powerful defense of the economics of liberty ever written. This is the Scholars Edition: accept no substitute. You will treasure this volume.

The Scholars Edition is the original, unaltered treatise (originally published in 1949) that shaped a generation of Austrians and made possible the intellectual movement that is leading the global charge for free markets.
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Monday, 24 January 2011

The Great Depression Ahead: How to Prosper in the Crash Following the Greatest Boom in History



The Great Depression Ahead: How to Prosper in the Crash Following the Greatest Boom in History
Harry S.Dent | 2008-01-01 00:00:00 | Free Press | 366 | Finances and Money
Are you prepared for the next great crash ahead? Wouldn’t it be nice to be able to predict the key economic trends that will impact your life, your business, and your investments over the rest of your lifetime? Of course we would like to be able to predict all of these trends and have greater predictability and control over our lives. But what would any reputable economist tell you? No one can predict any major events or trends past the next election or Federal Reserve policy change, as we live in an ever-changing world with increasing complexity. “If a butterfly flaps its wings in Tokyo, we could get a hurricane in the Caribbean!” That’s their interpretation of “complexity theory”—which misses the point of how that new theory actually increases the predictability of chaotic processes.
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Forecasting Financial Markets: The Psychology of Successful Investing, Sixth Edition



Forecasting Financial Markets: The Psychology of Successful Investing, Sixth Edition
Tony Plummer | 2010-01-01 00:00:00 | Kogan Page | 425 | Finances and Money
Forecasting Financial Markets provides a compelling insight into the psychology of trading behavior and shows how "following the herd" can have disastrous results. It demonstrates how one's ability to make money in the world's financial markets depends critically on an ability to make decisions independently of the crowd.

Tony Plummer details the three dimensions essential to achieve successful trading, including an ability to understand the forces at work in logical terms, recognize (and neutralize) any emotional responses to market fluctuations, and design an investment process or trading system that generates objective "buy" or "sell" signals.

Taking the author's latest research into account, this book provides an in-depth assessment of the phenomenon of cycles, patterns of economic and financial activity, and how to use cycles as a forecasting tool. It includes Plummer's forecasts for when the global economy will emerge from its current downturn.
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Thursday, 20 January 2011

Essentials of Microeconomics: Exercises


Essentials of Microeconomics: Exercises
Krister Ahlersten | 2008-01-01 00:00:00 | Ventus Publishing | 93 | Finances and Money
It is time to test your knowledge to make sure that you are well prepared for your exam.
This free exercise book follows the same structure as the theory book about Microeconomics. Answer questions about for example consumer theory, demand, production and cost. All the exercises are followed by suggested solutions.
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Monday, 17 January 2011

151 Quick Ideas to Get New Customers



151 Quick Ideas to Get New Customers
Jerry Wilson | 2006-01-01 00:00:00 | Career Press | 151 | Finances and Money
For most businesses, attracting new customers is a never-ending effort mired in uncertainty, frustration and knee-jerk reactions. Jerry Wilson’s 151 Quick Ideas to Get New Customers takes the mystery out of creating an ongoing plan with proven tactics to keep the phone ringing and the door swinging.
The basic concept: Attract an endless flood of new customers at little or no cost!
151 Quick Ideas to Get New Customers demonstrates that you don’t have to use expensive and never-ending sales events, coupled with expensive advertising and energy-zapping promotions, to turn on a constant, inexhaustible flow of new prospects. And you don’t have to invent any new approaches, concepts, or buzz words to do it! Just follow some of Jerry Wilson’s 151 proven ideas and discover amazing results…fast!
Jerry Wilson has spent more than 25 years researching what his clients – small and medium sized businesses just like yours – need to do to be successful in today’s marketplace. These powerful ideas work! Each is presented in a bite-sized package that encourages instant execution. No long chapters with endless justifications, pontifications, philosophy, or personal stories. Just 151 great, practical ideas any business manager and owner can use to make an immediate difference in his or her business success.
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Sunday, 16 January 2011

The Lazy Man's Way To Riches


The Lazy Man's Way To Riches
Joe Carbo | 1973-01-01 00:00:00 | | 56 | Finances and Money
Bringing this world famous work, together with its examples, case histories and so very much more has been not only a considerable task, but also a joy, to which I would welcome and in fact encourage your discussions, comments and reactions.
JOE
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