
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

Dear Mr. Buffett: What An Investor Learns 1,269 Miles From W
作者简介: Janet M. Tavakoli is the President of Tavakoli Structured Finance, a Chicago-based consulting firm to financial institutions, institut-ional investors, and hedge funds. She gave advance warning of major collapses including Long-Term Capital Management, First Alliance Mortgage, the thrift industry, and the current credit bubble. BusinessWeek called her "The Cassandra of Credit Derivatives." Tavakoli is a former adjunct associate professor in the Finance Department of the University of Chicago's Graduate School of Business, where she taught derivatives. She is also the author of several professional finance books, and is frequently quoted in the business press, including the Wall Street Journal, the Financial Times, BusinessWeek, the New York Times, and many others. She also appears on CNN, CNBC, CBS Evening News, Bloomberg TV, First Business Morning News, Fox News, Fox Business News, ABC, and BBC.
¥193.00

Venture Capital and the Finance of Innovation风险资本与革新财政
¥874.70

Quantitative Investment Analysis, Second Edition Workbook(IS
¥306.50

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

Options Trading for the Conservative Investor期权交易的保守投资者:增加利润
"The author's option trading guidelines include important issues often overlooked by investors. Attention conservative investors! Michael Thomsett's Options Trading for the Conservative Investor has hit a bulls eye...for you!" ——Marty Kearney, The Options Institute, Chicago Board Options Exchange "Michael Thomsett has done a terrific job of showing how a conservative investor can use certain option strategies to his advantage. He spells out how that investor can utilize options to provide income, to protect stock holdings, or even as a substitute for stock itself. Every open-minded conservative investor should read this book." ——Lawrence G. McMillan; publisher, The Options Strategist newsletter; president, McMillan Analysis Corporation; author, Options as a Strategic Investment "This book is a must for the diligent investor. Perfectly timed for these uncertain markets, Michael Thomsett provides a lucid guide for how to approach option
¥207.00

WARREN BUFFETT WEALTH: PRINCIPLES AND PRACTICAL METHODS USED
¥169.10

资产评估(附CD) VALUATION, FOURTH EDITION
¥1590.6

Rule No.1: The Simple Strategy for Successful Investing in O
¥131.30

Forex Revolution外汇交易革命:局内人眼中的真实世界
Foreign Exchange Trading: Today's #1 Opportunity for Explosive Profits! ●The practical, hands-on Forex trading guide for individual investors ●No costly sub*ions or expensive tools needed ●Delivers unbiased, up-to-the-minute techniques you can start profiting from today ●Covers everything from trading rules to fundamental and technical strategies ●Realistically assesses risks and pitfalls—and shows how to avoid or mitigate them Forex Isn't Just the World's Biggest Market—It's Your #1 Profit Opportunity!
¥207.00

¥59.80

套利基金:工作状况测定、风险分析与证券分配 HEDGE FUNDS: INSIGHTS IN PERFORMANCE
¥715.60

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

Out of the Red: Investment and Capitalism in Russia在俄罗斯投资与资本
作者简介: John T. Connor Jr., is the founder and portfolio manager of the Third Millennium Russia Fund, a U.S., S.E.C.-registered mutual fund specializing in the equities of Russian public companies. In 2003 and 2006, he was ranked No. 1 Portfolio Manager in the U.S. by the annual Barron's Value Line survey. In 2004, the Wall Street Journal ranked him as the fifth best Overall Fund Manager in the U.S. He was Phi Beta Kappa and recieved his BA from Williams College (1963) and JD from Harvard Law School (1967).
¥222.60

The Little Book Of Alternative Investments: Reaping Rewards
¥135.90

从顶峰营利:《石油的终结》与世纪最大投资事件Profit from the Peak: The End of Oil a
¥208.60

Equity Asset Valuation Workbook, Second Edition(ISBN=9780470
¥272.60

The Little Book That Still Beats The Market 9780470624159
¥156.40

How to Pick Stocks Like Warren Buffett像巴菲特一样炒股
¥168.00

Harvard Business Review on Mergers & Acquisitions ("Harvard
¥146.30

热点商品:如何在世界最好的市场上进行有利可图的投资HOT COMMODITIES - HOW ANYONE CAN IN
¥190.50

THE WOMEN OF BERKSHIRE HATHAWAY: LESSONS FROM WARREN BUFFETT
¥125.80

在线投资,第6版Investing Online For Dummies, 6th Edition
¥185.70

GSI公司的未来/GETTING STARTED IN FUTURES, 5TH EDITION
¥153.50

Hedging Market Exposures: Identifying And Managing Market Ri
¥647.80

GETTING STARTED IN OPTIONS, 6TH EDITION 期货入门指南
¥153.50

The Right Stock at the Right Time: Prospering in the Coming
¥179.30

CEO MEMO;LESSONS FROM PRIVATE EQUITY首席执行官备忘录
¥145.20

¥92.40

¥44.00

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

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

商品增长:骗局背后的真相与如何于商品市场真正获利COMMODITIES RISING
作者简介: JEFFREY M. CHRISTIAN is Managing Director of the CPM Group, one of the world's premier precious metals and commodities research and consulting companies. He began his career in commodities as a journalist at Metals Week, and then moved to J. Aron, which later became the commodities trading division of Goldman Sachs. Mr. Christian founded CPM Group when he spun off his research team from Goldman Sachs in 1986. He speaks frequently at commodity industry conferences and seminars, and oversees the publication of CPM's renowned precious metal yearbooks. Mr. Christian is quoted frequently in the financial press and has appeared on several financial news programs to discuss commodities.
¥215.10

¥30.60

Finding the Next Starbucks: How to Identify and Invest in th
¥83.20

FUNDRAISING FOR SOCIAL CHANGE 社会变革筹款
¥292.50

A Random Walk Down Wall Street
中文版《漫步华尔街》购买请点击
¥184.20

亚太地区固定收入市场:地区货币、债券与利息衍生物市场 ASIA-PACIFIC FIXED INCOME MARKETS
¥636.00

¥158.40

Intelligent Investor 聪明的投资者 (ISBN 9780060555665)
BENJAMIN GRAHAM(1894-1976), the father of value investing, has been an inspiration for many of today's most successful businesspeople. He is also the author of Security Analysis and The Interpretation of Financial Statements.
¥120.30

WSJ COMPLETE MONEY AND INVEST(ISBN=9780307236999)
¥64.50

¥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

THE AGGRESSIVE CONSERVATIVE INVESTOR 积极谨慎的投资者
¥153.50

(股市法则(第3版))Stock Market Rules (3rd Edition)
¥75.70

未来股市生存赚钱之道(AMERICA'S BUBBLE ECONOMY)
作者介绍:DAVID WIEDEMER, PhD DAVID WIEDEMER, PhD, is a groundbreaking evolutionary economist who created the rigorous economic analysis on which this book is based. He received a PhD in economics from the University of Wisconsin-Madison. Dr. Wiedemer has held senior management positions with several Washington, DC–area high technology companies and holds thirteen domestic and international patents on information technology.
¥198.50

The Pocket Idiot's Guide to Direct Stock Investing(ISBN=9781
¥45.50

High Probability Trading Strategies + Ws: Entry Toexit Tacti
¥416.80

HEDGE FUNDS FOR DUMMIES 套利基金初阶
¥192.30

Index Investing For Dummies指数投资指南
作者简介: Russell Wild, MBA, an expert on index investing, is a fee-only financial planner and investment advisor and the principal of Global Portfolios. He is the author or coauthor of nearly two dozen nonfiction books.
¥169.80

¥140.40

英文原版 The End of Wall Street 拯救华尔街/华尔街的终结 Roger Lowenstein 英文
¥125.00

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

BULL'S EYE INVESTING(牛眼投资:烟幕与镜像市场的目标真实利润)
¥130.50

(SuperCash:新套利基金资本主义)SUPERCASH: THE NEW HEDGE FUND CAPITALIS
¥384.40

新建康保险方案/THE NEW HEALTH INSURANCE SOLUTION
¥130.50

¥56.30

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

The Little Book Of Behavioral Investing - How Not To Be Your
Bias, emotion, and overconfidence are just three of the manybehavioral traits that can lead investors to lose money or achievelower returns. Montier takes readers through some of the mostimportant behavioral challenges and explains how to overcomethem.
¥135.90

The Smartest Investment Book You'll Ever Read(ISBN=978039953
¥57.90