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A Bibliography of Finance and Investment

A Bibliography of Finance and Investment PDF Author:
Publisher:
ISBN: 9780262021050
Category : Finance
Languages : en
Pages : 361

Book Description


A Bibliography of Finance and Investment

A Bibliography of Finance and Investment PDF Author:
Publisher:
ISBN: 9780262021050
Category : Finance
Languages : en
Pages : 361

Book Description


A Bibliography of Finance and Investment

A Bibliography of Finance and Investment PDF Author: Connie Pyle
Publisher: Cambridge, Mass : MIT Press
ISBN:
Category : Business & Economics
Languages : en
Pages : 384

Book Description
A classified listing of approximately 3,600 theoretical and empirical studies in the fields of corporate finance and speculative financial markets, most of which have been published in statistical or general economic journals since 1960 and through 1971, and primarily in the United States. Works are listed both by author and by subject, and each subject heading is preceded by a short introduction to the available materials. Studies are grouped in 150 subject areas under the following main headings: Works of Reference and Anthologies; Securities Markets; Investment Institutions and the Owndership of Securities; Investment Management; Market Indexes and the Return on Equities; The Economy and the Stock Market; The Valuation of Equities; The Behavior of Accounting Numbers and Their Effect on Stock Prices; Decisions under Uncertainty and General Equilibrium Conditions; Portfolio Selection and Capital Asset Pricing Theory; Market Efficiency and the Random Walk Hypothesis; Technical Analysis; Volume and Unusual Market Activity; Performance Measurement; The Accuracy of Forecasts; Sales of Stock and Changes in Issued Capital; Options and Convertible Securities; Interest Rates; Bonds and Preferred Stock; Money Market and International Capital Markets; Other Speculative Markets; Corporate Finance&-General; Capital Structure; Dividend Policy; Asset Management; Mergers, Bankruptcies, and Reorganizations; Taxation.

A History of the Theory of Investments

A History of the Theory of Investments PDF Author: Mark Rubinstein
Publisher: John Wiley & Sons
ISBN: 1118161092
Category : Business & Economics
Languages : en
Pages : 393

Book Description
"This exceptional book provides valuable insights into the evolution of financial economics from the perspective of a major player." -- Robert Litzenberger, Hopkinson Professor Emeritus of Investment Banking, Univ. of Pennsylvania; and retired partner, Goldman Sachs A History of the Theory of Investments is about ideas -- where they come from, how they evolve, and why they are instrumental in preparing the future for new ideas. Author Mark Rubinstein writes history by rewriting history. In unearthing long-forgotten books and journals, he corrects past oversights to assign credit where credit is due and assembles a remarkable history that is unquestionable in its accuracy and unprecedented in its power. Exploring key turning points in the development of investment theory, through the critical prism of award-winning investment theory and asset pricing expert Mark Rubinstein, this groundbreaking resource follows the chronological development of investment theory over centuries, exploring the inner workings of great theoretical breakthroughs while pointing out contributions made by often unsung contributors to some of investment's most influential ideas and models.

A Bibliography of Finance

A Bibliography of Finance PDF Author: Richard A. Brealey
Publisher: Cambridge, Mass. : MIT Press
ISBN:
Category : Business & Economics
Languages : en
Pages : 880

Book Description
Works in the bibliography focus on issues of lasting importance and are analytical as well as descriptive and essentially all of the articles in such major finance journals as the Journal of Finance and Journal of Financial Economics have been included. Entries are divided into 40 main subject areas broken down into 373 subject categories. They range from Bernoulli's famous paper of 1730 to works published at the end of 1989 with the majority of publications published in the last decade. Main subjects: General finance. Decisions under uncertainty. Economics of information. The principal-agent relationship. Social responsibility. Capital markets and securities markets. Market microstructure. Intermediation. Efficiency of securities markets. Rates of return on securities. Risk. Portfolio selection. Equilibrium prices of risky assets. Measurement of investment performance. Valuation of common stocks. Accounting information and valuation. Interest rates. Debt and preferred stock. Options. Convertible securities and warrants. Hedging instruments: futures and forwards. Capital expenditures. Cost of capital. New securities issues. Splits and stock dividends. Cash dividends. Company financing and capital structure. Leasing and project finance. Financial planning. Working capital. Mergers and corporate restructuring. Regulated industries. Foreign exchange. Real estate. Commodity markets and exhaustible resources. Other speculative markets. Human capital. Tax. Inflation. Econometrics and statistics.

Capital Markets and Finance Bibliography

Capital Markets and Finance Bibliography PDF Author:
Publisher:
ISBN:
Category : Finance
Languages : en
Pages : 320

Book Description


Annotated Bibliography of Corporate Finance

Annotated Bibliography of Corporate Finance PDF Author: Roger J Lister
Publisher: Palgrave
ISBN: 9781349026289
Category :
Languages : en
Pages : 252

Book Description


The Long and the Short of It (International edition)

The Long and the Short of It (International edition) PDF Author: John Kay
Publisher: Profile Books
ISBN: 1782832696
Category : Business & Economics
Languages : en
Pages : 266

Book Description
The follies of finance have threatened the stability of the global economy, and the world of finance has become increasingly complex and sophisticated, but also greedy, cynical and self-interested. The Long and the Short of It provides a guide to the complexities of modern finance and explains how to put your finances in the only hands you can confidently trust - your own. In this new, wholly updated edition of The Long and the Short of It, you will learn everything you need to be your own investment manager. You will recognise your investment options, the institutions that try to sell them, and how to distinguish between fact and fiction in what companies say. You will discover the principles of sound investment and the research that supports these principles. Crucially, you will learn a practical investment strategy and how to implement it. Leading economist and hugely successful investor John Kay uses his academic credentials and practical experience to lay out the key principles of investment with characteristic clarity and dry humour. This is the only book about finance and investment anyone needs, and the one book they must have.

A Bibliography for Investment and Economic Analysis

A Bibliography for Investment and Economic Analysis PDF Author: Society of Investment Analysts (Great Britain)
Publisher:
ISBN:
Category : Great Britain
Languages : en
Pages : 105

Book Description


International Investment Protection of Global Banking and Finance

International Investment Protection of Global Banking and Finance PDF Author: Arif H. Ali
Publisher: Kluwer Law International B.V.
ISBN: 9403535628
Category : Law
Languages : en
Pages : 616

Book Description
Global banking and finance is a complex and specialized field with sector-specific investment forms, subject to distinctive legal and regulatory frameworks and unique types of political risk. This comprehensive guide to international investment protection in the finance and banking sector, written by acknowledged experts in the field of investor-State arbitration, provides the first in-depth discussion of how international investment law applies to investors and investments in the sector. Featuring expert guidance on the key legal protections for cross-border banking and finance investments, with complete and up-to-date coverage of investor-State cases, the analysis crystallizes a set of field-specific legal principles for the sector. In particular, the authors address the following practical aspects of investment protection in the banking and finance sector: how sector-specific forms of investment, such as loans and derivatives, impact the dispute resolution process; types of political risk that cross-border investments in the sector are likely to encounter; distinctive adverse sovereign measures that underlie disputes in the sector, including those from sovereign debt defaults and banking sector bailouts; specific treaty provisions, such as jurisdictional carve-outs and targeted exclusions; remedies available for violations of international investment protections; how monetary damages may be assessed for injury to banking and finance sector investments; the scope of financial services chapters included in certain free trade agreements; the protections available under domestic foreign investment laws; and alternative sources of protection such as political risk insurance and investment contracts. International disputes practitioners and academics, in-house counsel in the finance and banking industries, and arbitrators addressing banking and finance disputes will welcome this book for its practical guidance. With strategies for investors as well as for sovereign States to navigate the intricacies of the investment protection system, the authors’ comprehensive analysis will help ensure appropriate international protection for banking and finance sector investments, both when establishing investments and when resolving disputes. The book lays the groundwork for the future consolidation of international investment protection as a critical tool to manage the political risk confronting global banking and finance.

Handbook of Finance

Handbook of Finance PDF Author: Frank J. Fabozzi
Publisher:
ISBN: 9780470404324
Category : Business & Economics
Languages : en
Pages :

Book Description
"The Handbook of Finance is a comprehensive 3-Volume Set that covers both established and cutting-edge theories and developments in finance and investing. Edited by Frank Fabozzi, this set includes valuable insights from global financial experts as well as academics with extensive experience in this field. Organized by topic, this comprehensive resource contains complete coverage of essential issues—from portfolio construction and risk management to fixed income securities and foreign exchange—and provides readers with a balanced understanding of today’s dynamic world of finance. A brief look at each volume: Volume I: Financial Markets and Instruments skillfully covers the general characteristics of different asset classes, derivative instruments, the markets in which financial instruments trade, and the players in those markets. Volume II: Investment Management and Financial Management focuses on the theories, decisions, and implementations aspects associated with both financial management and investment management. Volume III Valuation, Financial Modeling, and Quantitative Tools contains the most comprehensive coverage of the analytical tools, risk measurement methods, and valuation techniques currently used in the field of finance."