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
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Becoming Your Own China Stock Guru: The Ultimate Investor’s
¥260.50
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
¥577.30
开始个人的金融顾问实践:如何成功的驾驭转变 STARTING YOUR OWN PRACTICE:
¥317.80
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
公司债券市场:工具与运用Corporate Bond Markets: Instruments and Applicat
¥716.00
Enhanced Indexing Strategies: Utilizing Futures And Options
¥447.00
FoundationandEndowmentInvesting:PhilosophiesandStrategiesofT
¥447.00
The CPM Silver Yearbook 2008CPM白银年鉴 2008
¥559.70
并购大全:实施并购完成的过程工具 The Complete Guide to Mergers and Acquisiti
¥381.00
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
Capital Instincts: Life As an Entrepreneur, Financier, and A
作者简介: RICHARD L. BRANDT is one of the few journalists who has gained Weisel’s trust, and has contacts deep within the worlds of finance and technology. A veteran journalist with over twenty years’ experience, Brandt was formerly Editor-in-Chief of Upside magazine. Prior to joining Upside, Brandt was a senior reporter for BusinessWeek for fourteen years.
¥275.70
Option Strategies: Profit-Making Techniques for Stock, Stock
¥596.60
WRITING SECURITIES RESEARCH 撰写证券研究:实践指南
¥307.50
投资者的圣经:证券分析SECURITY ANALYSIS 3E (FACSIMILE ED)
¥527.10
证券金融:证券贷款与重新购买协议 SECURITIES FINANCE
作者简介: FRANK J. FABOZZI, PhD, CFA, CPA, is the Frederick Frank Adjunct Professor of Finance at Yale University's School of Management. He is also a Fellow of the International Center for Finance at Yale University. Prior to joining the Yale faculty, Fabozzi was a visiting professor of finance in the Sloan School of Management at MIT. Fabozzi has authored and edited many acclaimed books in finance and is also the Editor of the Journal of Portfolio Management.
¥715.60
THE ENCYCLOPDIA OF COMMODITY AND FINANCIAL SPREADS 商品与财务差价百科
¥692.70
STUDY GUIDE FOR ENTRIES & EXITS: VISITS TO 16 TRADING ROOMS
¥307.90
估价技术:知识经济中财富新科学VALUING TECHNOLOGY
¥636.00
成功投资与贸易的观念与战略The Nature of Trends : Strategies and Concepts
¥521.80
理财DNA- 为了高质量生活发现你的独特理财个性 FINANCIAL DNA
¥317.80
Investments Workbook: Principles Of Portfolio And Equity Ana
¥272.60
Swiss Annuities and Life Insurance: Secure Returns, Asset Pr
¥558.80
FUNDRAISING FOR SOCIAL CHANGE 社会变革筹款
¥292.50
债券市场导论/AN INTRODUCTION TO THE BOND MARKETS
¥445.10
证券法,,2006法令增补本Securities Regulation 2006 Statutory Supplemen
¥330.00
用微软Excel创立金融模型:投资专业人员指南Building Financial Models with Micros
作者简介:K. SCOTT PROCTOR, CFA, is the Director of Investor Analytics at SNL Financial, a financial information provider. Mr. Proctor was also a founding Principal of Vawter Capital, a private equity investment firm that focuses primarily on early- to mid-stage, entrepreneurial, privately held, technology-oriented enterprises in the healthcare, communications, and financial services industries. Mr. Proctor also served as the acting CFO of Illuminis, an Intel- and MCI-funded healthcare information systems company. He earned his BA, MBA, and MS (Management Information Systems) from the University of Virginia.
¥437.50
期权导论/AN INTRODUCTION TO OPTIONS TRADING
¥346.30
Covered Calls - 财富选择 + DVD: :非常收益的保守途径COVERED CALLS AND LEAP
作者简介: Joseph Hooper has been a property developer, stockbroker, and bank owner. He is the founder of Compound Stock Earnings and is now a financial educator, radio talk show host, and one of the world's foremost experts on covered calls. In the early 1980s, Hooper formed a bank holding company, purchased banks, directed their operations, and then sold them in the early 1990s. Later, he joined Merrill Lynch as a private client advisor, using his covered calls technique for client accounts.
¥994.00
结构信贷产品:信贷衍生物与综合证券化 STRUCTURED CREDIT PRODUCTS:
作者简介: Moorad Choudhry is Head of Treasury at KBC Financial Products UK Limited in London. He previously worked as a government bond trader at ABN Amro Hoare Govett Limited and Hambros Bank Limited, and in structured finance with JPMorgan Chase Bank.
¥636.00
经济指标与投资分析改善 Using Economic Indicators to Improve Investment
作者介绍:EVELINA M. TAINER EVELINA M. TAINER is Chief Economist at Econoday, a California-based firm that specializes in providing economic information to corporate and individual investment clients. Previously chief economist at Carr Futures and president of Simply Economics, Tainer has taught economics and finance at the University of Illinois, Northwestern University, and other Chicago-area universities. She has written about economics and finance for numerous national magazines and newspapers.
¥397.80
高级债券投资管理:建模与策略最佳实践 ADVANCED BOND PORTFOLIO MANAGEMENT
¥715.60
Capital Budgeting Valuation: Financial Analysis For Today'S
¥647.80
Fisher Investments On Telecom(ISBN=9780470527078)
¥341.30
轻松医疗保险:理解索赔周期(第2版)Medical Insurance Made Easy
¥327.10
DEEMER ON TECHNICAL ANALYSIS: EXPERT INS(ISBN=9780071785686)
I have had the great pleasure of working with and getting toknow some of the greatest Technical Analysts throughout the pastfifty years. Walt Deemer is widely recognized as one of the best.His charm and wit in explaining the keys to successful investingwill make his book, Deemer on Technical Analysis, a must-read, andan all-time classic for first time investors and professionalsalike." -- Paul Desmond "Lowry Research"
¥266.70
Equity Asset Valuation Workbook, Second Edition(ISBN=9780470
¥272.60
开拓投资组合的管理 PIONEERING PORTFOLIO MAN
"A masterful work by the master himself. We at Harvard wish that David Swensen would find a new job." ——Burton G. Malkiel, Chemical Bank Chairman?s Professor of Economics, Princeton University "One of the world's most successful institutional fund managers presents powerful insights to help us become better investors. A must-read for both institutional and serious individual investors." ——Peter L. Bernstein, President,Peter L. Bernstein, Inc. "This book will be a classic: it is essential reading for all investors, great and small. David Swensen is a leader and pioneer whose words reveal a rare combination of courage, integrity, and intelligence. No one can fail to find value here." ——Barton M. Biggs, Chairman,Morgan Stanley Dean Witter Investment Management. "David Swensen is one of the best and most original fiduciaries of modern times. His t
¥278.10
永远财富:股票市场分析WEALTH FOREVER: THE ANALYTICS OF STOCK MARKETS
¥577.50
信贷衍生物:风险管理、贸易与投资 CREDIT DERIVATIVES
¥763.30
优秀股票交易BETTER STOCK TRADING: MONEY AND RISK MANAGEMENT
¥317.80
利率风险模式 INTEREST RATE RISK MODELING
作者简介: Sanjay K. Nawalkha, PhD, is Associate Professor of Finance at the University of Massachusetts Amherst, where he teaches graduate courses in finance theory and fixed income. He has published extensively in academic and practitioner journals, especially in the areas of fixed income and asset pricing. He is the coeditor of the book Interest Rate Risk Measurement and Management, published by Institutional Investor. Dr. Nawalkha is also the President and founder of Nawalkha and Associates.
¥715.60
How to Create and Manage a Mutual Fund or Exchange-Traded Fu
¥708.40
资产评估(附CD) VALUATION, FOURTH EDITION
¥1590.6
信贷衍生产品与结构性信贷:投资者指南CREDIT DERIVATIVES AND STRUCTURED CREDIT -
¥699.70
THE BEST OF WILMOTT 1 Wilmott论文精选 1:定量金融评论2003年研究
¥1115.8
Energy And Environmental Hedge Funds: The New Investment Par
作者简介: Peter Fusaro has written four books on energy hedging (two with John Wiley) including the New York Times best seller What Went Wrong at Enron. He is recognized throughout Asia as an energy risk management expert, and has spoken at several APEC meetings as well as in China, Thailand, Indonesia, Korea, Australia and Japan on energy trading. He has also written a Financial Times Report, Asia Pacific Energy Derivatives, and conducted many energy hedging and risk management studies for Japanese and Korean companies and governments on these topics for the past 10 years.
¥1114.1
(债券市场导论)AN INTRODUCTION TO BOND MARKETS
¥423.30
INVESTMENT STRATEGIES OF HEDGE FUNDS(套利基金:投资战略)
¥884.40
外来品期权定价与高级Levy模型EXOTIC OPTION PRICING AND ADVANCED LéVY MODE
¥1017.9
EVIDENCE-BASED TECHNICAL ANALYSIS(实证技术分析:如何利用科学与统计学评估技术指标、图形
¥731.20
评估:公司价值测评与管理 第4版 VALUATION, FOURTH EDITION
作者简介: McKINSEY & COMPANY is a management consulting firm that helps leading corporations and organizations make distinctive, lasting, and substantial improvements in their performance. Over the past seven decades, the firm's primary objective has remained constant: to serve as an organization's most trusted external advisor on critical issues facing senior management. With consultants deployed from over eighty offices in more than forty countries, McKinsey advises companies on strategic, operational, organizational, financial, and technological issues. The firm has extensive experience in all major industry sectors and primary functional areas, as well as in-depth expertise in high-priority areas for today's business leaders.
¥675.80
融资课程(THE EQUITY TRADER COURSE + CD)
¥596.20
The Goldwatcher : Demystifying Gold Investing黄金观察家:解密黄金投资
¥260.50
Full View Integrated Technical Analysis: A Systematic Approa
¥545.90
证券化:未来金融投资SECURITIZATION THE FINANCIAL INSTRUMENT OF THE FUT
¥1153.7
SNIPER TRADING 狙击贸易:证券、期权与期货贸易短期赚钱基本诀窍
¥346.30
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