StopandMakeMoney:HowToProfitintheStockMarketUsingVolumeandSt
作者简介:Richard Arms, a financial consultant to institutional investors and a private portfolio manager, is a noted expert in the field of technical and market analysis. Arms has created key technical tools for understanding market price movement, which are listed daily in the Wall Street Journal and included in a variety of market analysis software programs. His Equivolume charting system is now part of the most popular stock and futures software, and his Arms Index—also known as the Short-Term Trading Index or TRIN—has become one of the most important technical tools on Wall Street. Arms received the prestigious Market Technicians Award in 1995.
¥558.80
Venture Capital and the Finance of Innovation风险资本与革新财政
¥874.70
对冲基金的基金:机构投资者及其顾问指南Hedge Funds Of Funds : A Guide for Invest
作者简介:Dr. Chris Jones, London, UK is Chief Investment Officer of Key Asset Management, one of Europe’s oldest hedge fund houses managing over $1bn in assets. He has been investing in hedge funds in a professional capacity since 1994, and previously worked in this area at Sanlam, State Street Global Advisors and Liberty Ermitage. Prior to this, he has worked in trading and asset management capacities at Société Générale and Crédit Lyonnais. Chris frequently appears in the hedge fund trade press and on CNBC commenting on hedge funds, and regularly educates pension plan trustees and other industry professionals in this area.
¥417.10
Investments Workbook: Principles Of Portfolio And Equity Ana
¥272.60
期货市场制胜之道 BEATING THE FINANCIAL FUTURES MARKETS
¥516.70
并购大全:实施并购完成的过程工具 The Complete Guide to Mergers and Acquisiti
¥381.00
Structured Products and Related Credit Derivatives: A Compre
¥708.40
固定收入有价证券的投资:了解债券市场 INVESTING IN FIXED INCOME SECURITIES:
作者简介: Gary Strumeyer is the Managing Director of the Bond and Money Market Group at BNY Capital Markets, Inc., a registered broker-dealer subsidiary of The Bank of New York Company, Inc., and has been with the company for twenty years. He is a former adjunct professor of economics and finance at New York University's School of Continuing and Professional Studies. Strumeyer is the author of Keys to Investing in Municipal Bonds, published by Barron's in 1996. He recently served on the NASD's Corporate Debt Market Panel. The panel's purpose was to review and make recommendations to the NASD Board of Governors regarding how to best insure market integrity and investor protection in the corporate bond market.
¥556.50
Equity Asset Valuation Workbook, Second Edition(ISBN=9780470
¥272.60
My Word Is My Bond: Voices from Inside the Chicago Board of
¥409.20
The CPM Gold Yearbook 2008CPM黄金年鉴 2009
¥559.70
Enhanced Indexing Strategies: Utilizing Futures And Options
¥447.00
WRITING SECURITIES RESEARCH 撰写证券研究:实践指南
¥307.50
融资课程(THE EQUITY TRADER COURSE + CD)
¥596.20
Full View Integrated Technical Analysis: A Systematic Approa
¥545.90
风险资本与私人股权投资基金的组合管理J-Curve Exposure
作者简介: PIERRE-YVES MATHONET MSc Fin MSc Mngt, is heading the venture capital unit within the risk management division of the European Investment Fund. He is also a member of the private equity subcommittee of the Chartered Alternative Investment Analyst Program.Before that, he worked as an investment banker in the technology groups of Donaldson, Lufkin & Jenrette, and Credit Suisse First Boston, and previously for the audit and consulting departments of PricewaterhouseCoopers. He is a regular speaker at major conferences, and initiated and chaired the EVCA’s Private Equity Foundation Course for Limited Partners. He has contributed articles to some leading alternative investments and financial publications. Pierre-Yves holds a Master of Science cum laude in Finance from London Business School and a Master of Science magna cum laude in Management from Solvay Business School in Brussels. He is also a Certified European Financial Analyst cum laude.
¥715.40
Trend Trading for a Living Learn the Skills and Gain the Con
¥293.30
Getting A Job In Private Equity: Behind-The-Scenes Insight I
¥334.40
印度的资本市场——投资者指南Capital Markets of India: An Investor's Guide
作者简介:Alan R. Kanuk has more than twelve years' experience in Southeast Asia and the United States as a senior executive manager. He was hired by the investment bank Bear, Stearns & Co. in 1980 and quickly rose to become a senior managing director—and later became a director of Bear Stearns Asia Ltd. Kanuk also served as deputy head of ING's Asian Equity business, where he managed trading and sales activities in nine Asian markets. In 1998, Kanuk founded a start-up business, ARKAccess,?to?create an electronic trading platform in Asia.?
¥633.60
成功投资与贸易的观念与战略The Nature of Trends : Strategies and Concepts
¥521.80
The Goldwatcher : Demystifying Gold Investing黄金观察家:解密黄金投资
¥260.50
外汇期权与结构性产品FX Options and Structured Products
作者简介: UWE WYSTUP is CEO of www.mathfinance.com, a global network of quants specializing in modeling and implementing Foreign Exchange Exotics. He has been working as Financial Engineer, Structurer and Consultant in FX Options Trading Teams of Citibank, UBS, Sal. Oppenheim and Commerzbank since 1992 and became an internationally known FX Options expert in both Academia and Practice. Uwe holds a PhD in mathematical finance from Carnegie Mellon University and has been appointed a professor of Quantitative Finance at HfB-Business School of Finance and Management in Frankfurt, where he is in charge of the Master Program in Quantitative Finance. His first book Foreign Exchange Risk co-edited with Jürgen Hakala published in 2002, he has also published articles in Finance and Stochastics, the Journal of Derivatives and The MathFinance Newsletter.
¥954.70
永远财富:股票市场分析WEALTH FOREVER: THE ANALYTICS OF STOCK MARKETS
¥577.50
THE BEST OF WILMOTT 1 Wilmott论文精选 1:定量金融评论2003年研究
¥1115.8
信贷衍生物:风险管理、贸易与投资 CREDIT DERIVATIVES
¥763.30
共同基金:Mark Mobius 大师系列 MUTUAL FUNDS: AN INTRODUCTION TO THE
作者简介: Mark Mobius, Ph.D., managing director, joined Templeton in 1987 as president of the Templeton Emerging Markets Fund, Inc. He currently directs the analysts based in Templeton’s 12 emerging markets offices and manages the emerging markets portfolios. Dr. Mobius has spent more than 30 years working in emerging markets all over the world.
¥278.00
Fisher Investments On Technology(ISBN=9780470452370)
¥341.20
反向波动交易:从短期股票交易中获利的低风险策略Contrarian Ripple Trading
¥372.20
The CPM Silver Yearbook 2008CPM白银年鉴 2008
¥559.70
Wealth Secrets of the Affluent: Keys to Fortune Building and
作者简介: Christopher R. Jarvis, MBA, is a financial planner with experience as an actuary and entrepreneur. He is cofounder, with Mr. Mandell and Jason M. O'Dell, of O'Dell Jarvis Mandell, LLC, which is based in the cities of Austin, New York, Cincinnati, and Ft.
¥298.30
Private equity as an asset class.私募股权资产
作者简介:GUY FRASER-SAMPSON has twenty years’ experience of the private equity industry, most notably having set up and run for several years the European operations of Horsley Bridge. As a partner in the firm, and Managing Director of Horsley Bridge International, he had a perhaps unique opportunity to interact simultaneously with private equity managers in both Europe and the US, including famous “golden circle” venture firms based predominantly in California. He previously lived and worked in the Middle East as Investment Controller with the Abu Dhabi Investment Authority (“ADIA”). He has extensive experience of the evaluation of private equity managers, including having personally designed and developed a computer model for the evaluation of buyout performance, but is equally recognised as an authority on venture capital. In addition to his work with fund managers (“GPs”), he has also been involved in direct, secondary and mezzanine transactions over the years, as well as planni
¥556.20
Precious Metals Trading: How To Profit from Major Market Mov
作者简介 PHILIP GOTTHELF publishes Commodex System—the oldest daily futures trading system published in the world—and the Commodity Futures Forecast Service. He is also President of Equidex Incorporated and Equidex Brokerage Group, Inc. Gotthelf has appeared on CNBC, MSNBC, CNN, Bloomberg, the Today show, NBC Nightly News, and The Wall Street Report. His articles have appeared in major industry publications including Barron's, Futures magazine, Investing, Technical Analysis of Stocks & Commodities, and SFO Magazine. Gotthelf is the author of three previous books: Currency Trading (Wiley), TechnoFundamental Trading, and The New Precious Metals Market.
¥556.20
Margin Trading from A to Z: A Complete Guide to Borrowing, I
¥372.20
投资管理手册Handbook of investment administration
¥477.00
Investment Performance Measurement: Evaluating And Presentin
Praise for Investment Performance Measurement "This volumecontains the insights of more than fifty prominent authorities onperformance measurement. It is a must-have, must-read book foranyone involved in measuring, analyzing, or explaining investmentresults." --John Schlifske, CFA, President and Chief ExecutiveOfficer, Russell Investments "Investment Performance Measurement:Evaluating and Presenting Results should be required reading forinvestors as well as investment performance professionals. Thiscollection conveniently brings together some of the definitivetexts on performance and risk analysis that are core to theinvestment profession." --Frances Barney, CFA, Managing Director,BNY Mellon Asset Servicing Performance and Risk Analytics "It isvitally important that performance analysts remain well versed inthe academic work that has been published in their field. This bookis unique in that it assembles some of the most important papers inthe field of performance measurement into one volume. This books
¥647.80
证券化:未来金融投资SECURITIZATION THE FINANCIAL INSTRUMENT OF THE FUT
¥1153.7
私人公司评估原理 PRINCIPLES OF PRIVATE FIRM VALUATION
¥636.00
A HISTORY OF THE THEORY OF INVESTMENTS: MY ANNOTATED BIBLIOG
作者简介: MARK RUBINSTEIN is the Paul Stephens Professor of Applied Investment Analysis at the Haas School of Business at the University of California, Berkeley. He is best known for his work on derivatives and asset pricing. Rubinstein is also the author or coauthor of numerous books, including Options Markets, Derivatives: A PowerPlus Picture Book, and Rubinstein on Derivatives, and has won numerous prizes and awards for his research and writing on derivatives. He is a graduate of Harvard University, Stanford University, and the University of California at Los Angeles.
¥769.70
Hedge Fund Leadership: How To Inspire Peak Performance from
作者简介: Ari Kiev is a psychiatrist who specializes in organizational psychology, stress management, and performance enhancement. He is President of the Social Psychiatry Research Institute and is recognized worldwide for his pioneering work in transcultural psychiatry, suicidology, and psychopharmacology. Kiev has counseled Olympic athletes on how to achieve states of peak performance in athletic competition. In recent years, he has developed the Trading to Win training programs for dealing with trading stress, portfolio management, risk control, and leadership as they related to peak performance in the trading arena. For more information contact www.arikiev.com.
¥558.80
像沃伦·巴菲特那样交易 TRADE LIKE WARREN BUFFETT
¥397.40
套利基金投资者手册The Investor's Guide to Hedge Funds
¥278.00
Trade like Jesse Livermore像J.利弗莫尔那样做买卖
作者介绍:RICHARD SMITTEN RICHARD SMITTEN is a full-time author and trader who resides in New Orleans, Louisiana. He holds a BA in English from the University of Western Ontario. As executive vice president of MTS International, he oversaw personnel on North Sea oil rigs, the nose cone design of the Dassault Mirage jet fighter, and security for the then newly discovered Nigerian oil fields. He also worked for the Vick Chemical Company where he was marketing director of the Canadian division. In 1998, Mr. Smitten became interested in Jesse Livermore, and began researching the man and his methodologies. In 2003, he founded Stock Market Solutions, a firm that teaches traders the "Jesse Livermore Trading System" (for more information, see www.stockmarketsolutions.org). Smitten is the author of numerous books, including Jesse Livermore: World’s Greatest Stock Trader, The Godmother, Capital Crimes, and Legal Tender.
¥397.80
资产评估(附CD) VALUATION, FOURTH EDITION
¥1590.6
套利基金执行与风险管理指南 THE HEDGE FUND COMPLIANCE AND RISK MANAGEMENT
作者简介: Armelle Guizot is working in operational risk consulting and on-demand special research projects at various firms globally. From 2004–2005 Guizot researched the role of risk management in offshore management hubs. She also participated in the development of operational risk management in funds and transfer agency lines of businesses. Guizot holds a master's in financial engineering from Cornell and is a graduate of West Virginia State University.
¥755.30
衍生性金融产品及其定价)/DERIVATIVES PRODUCTS AND PRICING 3RD EDITION RE
¥994.40
¥670.60
应用收购与兼并APPLIED MERGERS AND ACQUISITIONS
作者简介: ROBERT F. BRUNER is the Distinguished Professor of Business Administration at the Darden School of the University of Virginia and Executive Director of the Batten Institute. He directs the Darden School’s executive education course on mergers and acquisitions, and teaches the popular MBA elective on that topic. He is the author of over 250 case studies and a casebook, Case Studies in Finance: Managing for Corporate Value Creation, which has been adopted for use at over 200 schools. Bruner’s articles have been published in the Journal of Financial Economics, the Journal of Accounting and Economics, the Journal of Financial and Quantitative Analysis, the Journal of Money, Credit, and Banking, and Financial Management. He has served as a consultant to over twenty corporations as well as to the U.S. Government, and prior to his academic career, worked as a commercial banker and venture capitalist. Bruner holds a BA from Yale University, and an MBA and DBA from Harvard University.
¥795.10
(基金管理导论)AN INTRODUCTION TO FUND MANAGEMENT 3E
作者简介: Ray Russell has been a consultant and trainer within the financial services industry since 1988. Prior to this he spent 25 years in investment banking. Operating as GCR Management Services he has served as a director of a fund management firm for 10 years and has developed introductory training for the SII and fund management firms in the UK and Ireland. He also created a week long course for the compliance Institute.
¥346.30
全球投资与风险管理的观念与策略Investing and Risk Management Concepts and St
¥536.80
How to Create and Manage a Mutual Fund or Exchange-Traded Fu
¥708.40
EVALUATING HEDGE FUND PERFORMANCE(对冲基金业绩评估)
¥538.80
炒股投资:波动市场赚钱指南Active Value Investing : Making Money in Range-
作者简介: VITALIY N. KATSENELSON, CFA, has been involved with the investment industry since 1994. He is a portfolio manager with Investment Management Associates, where he comanages institutional and personal assets utilizing fundamental analysis. He is also an adjunct faculty member at the University of Colorado at Denver, Graduate School of Business. Katsenelson is a regular contributor to the Financial Times, MarketWatch from Dow Jones, and Minyanville.com. He is a CFA charter holder, member of CFA Institute, has served on the boards of the CFA Society of Colorado, and is currently on the board of the Retirement Investment Institute. Katsenelson received both his bachelor of science and his master of science in finance from the University?of Colorado at Denver, where he graduated cum laude. To read articles Katsenelson has written over the years, please visit: ContrarianEdge.com or ActiveValueInvesting.com.
¥372.20
INVESTMENT STRATEGIES OF HEDGE FUNDS(套利基金:投资战略)
¥884.40
Private Investment in India 1900–1939(ISBN=9780521052757)
¥326.40
投资者的圣经:证券分析SECURITY ANALYSIS 3E (FACSIMILE ED)
¥527.10
投资经理选择及其业绩评估手册How to Select Investment Managers & Evaluate P
作者简介:G. Timothy Haight, DBA, is the President of Menlo College, Chairman of the Board of Commonwealth Business Bank, and a member of the Board of Advisors of St. Cloud Capital Partners, LLC. He also serves as a member of Southern California Edison's Nuclear Power Decommissioning Fund Committee. Dr. Haight earned a Doctorate in Business Administration (DBA) with a major in business finance and investments from George Washington University. He received his MBA and BS degrees from the University of Dayton.
¥633.60
High Probability Trading Strategies + Ws: Entry Toexit Tacti
¥416.80
Treynor论机构投资Treynor On Institutional Investing
¥708.40
Equity Asset Valuation, Second Edition(ISBN=9780470571439)
¥647.80
投资委员手册:如何为你的机构进行明智投资 THE HANDBOOK FOR INVESTMENT COMMITTEE M
¥397.40