The Chance You Won't Return

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Author :
Publisher : Candlewick Press
ISBN 13 : 0763670391
Total Pages : 352 pages
Book Rating : 4.7/5 (636 download)

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Book Synopsis The Chance You Won't Return by : Annie Cardi

Download or read book The Chance You Won't Return written by Annie Cardi and published by Candlewick Press. This book was released on 2014-04-22 with total page 352 pages. Available in PDF, EPUB and Kindle. Book excerpt: When your mom thinks she’s Amelia Earhart, navigating high school, first love, and family secrets is like flying solo without a map. Driver’s ed and a first crush should be what Alex Winchester is stressed out about in high school — and she is. But what’s really on her mind is her mother. Why is she dressing in Dad’s baggy khaki pants with a silk scarf around her neck? What is she planning when she pores over maps in the middle of the night? When did she stop being Mom and start being Amelia Earhart? Alex tries to keep her budding love life apart from the growing disaster at home as her mother sinks further into her delusions. But there are those nights, when everyone else is asleep, when it’s easier to confide in Amelia than it ever was to Mom. Now, as Amelia’s flight plans become more intense, Alex is increasingly worried that Amelia is planning her final flight — the flight from which she never returns. What could possibly be driving Mom’s delusions, and how far will they take her?

Chance Returns!

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Author :
Publisher : Christian Faith Publishing, Inc.
ISBN 13 : 1098010965
Total Pages : 215 pages
Book Rating : 4.0/5 (98 download)

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Book Synopsis Chance Returns! by : Barbra Sneed

Download or read book Chance Returns! written by Barbra Sneed and published by Christian Faith Publishing, Inc.. This book was released on 2020-01-16 with total page 215 pages. Available in PDF, EPUB and Kindle. Book excerpt: When Chance returns home to the ranch, he is troubled with nightmares. In the dreams, his deceased daughter comes to him with messages of hope, but unfortunately, he doesn't know how to decipher them. His heart is heavy with guilt, and only God could help him to break the chains of this troublesome burden. Chance asked himself, over and over, how he could release his pent-up frustration, laying it at the feet of Jesus. But when he admits the struggle to his friends, Sunny and Maverick, they remind him that simple faith in God is the first step in releasing his guilt. During his battle with the nightmares, his past comes to be a part of his future. With it comes the forgiveness that he needs to be free of the past. Will he find new love and be ready to begin a new life? Will he finally be free from the nightmares? Will he learn to live with the past? Read Chance Returns! and find out just how Chance finds redemption and peace on the ranch called Blessed One. Sunny, who almost succumbs to the battle of cancer in the first book, now thrives on the ranch. She will bring new life to the ranch come winter. As she carries this life within, she and Mav decide to honor Chance's deceased daughter, naming a camp for disabled children after her. This book is full of hope, love, forgiveness, and faith. As you read through the pages and chapters, imagine how you might respond to each obstacle that Chance faced. Many of us face the same challenge and allow life's mistakes to keep us from dreaming of a better future. Letting go and letting God move is the solution but also a challenge that we often fail to see. May God's spirit take you to a higher power of understanding as you read. Enjoy!

Return to the Last Chance Zoo

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Author :
Publisher : Hachette Children's
ISBN 13 : 1444907867
Total Pages : 115 pages
Book Rating : 4.4/5 (449 download)

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Book Synopsis Return to the Last Chance Zoo by : W. J. Corbett

Download or read book Return to the Last Chance Zoo written by W. J. Corbett and published by Hachette Children's. This book was released on 2011-08-04 with total page 115 pages. Available in PDF, EPUB and Kindle. Book excerpt: Head keeper Ken is world-famous for never turning a difficult animal away. Ken's zoo gives a 'last chance', offering a home to all those animals whose misbehaviour or strange habits have led to their exclusion from other zoos. But Ken and his wife adore animals, and have collected a team of keepers who share their passion and their unusual approach to animal care. However naughty or difficult an animal, Ken's zoo will always give them plenty of care and understanding. Remaining forever calm, Ken is infinitely resourceful with his network of world-wide contacts - and always thrives on a crisis. This time, he's got beavers who won't stop building dams, unruly ostriches, a baby crocodile with teething problems, and a baby giraffe afraid of heights ... And, when the Council decide to close the zoo, there's a dragon at the gates ...

Risk-Return Analysis: The Theory and Practice of Rational Investing (Volume One)

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Author :
Publisher : McGraw Hill Professional
ISBN 13 : 007181793X
Total Pages : 271 pages
Book Rating : 4.0/5 (718 download)

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Book Synopsis Risk-Return Analysis: The Theory and Practice of Rational Investing (Volume One) by : Harry M. Markowitz

Download or read book Risk-Return Analysis: The Theory and Practice of Rational Investing (Volume One) written by Harry M. Markowitz and published by McGraw Hill Professional. This book was released on 2013-09-17 with total page 271 pages. Available in PDF, EPUB and Kindle. Book excerpt: The two most important words Harry Markowitz ever wrote are "portfolio selection." In 1952, when everyone in the stock market was looking for the next hot stock, as a doctoral candidate, he proposed to look at many, diverse stocks--a portfolio. He laid the first cornerstone of Modern Portfolio Theory and defended the idea that strategic asset growth means factoring in the risk of an investment. More than 60 years later, the father of modern finance revisits his original masterpiece, describes how his theory has developed, and proves the vitality of his risk-return analysis in the current global economy. Risk-Return Analysis opens the door to a groundbreaking four-book series giving readers a privileged look at the personal reflections and current strategies of a luminary in finance. This first volume is Markowitz's response to what he calls the "Great Confusion" that spread when investors lost faith in the diversification benefits of MPT during the financial crisis of 2008. It demonstrates why MPT never became ineffective during the crisis, and how you can continue to reap the rewards of managed diversification into the future. Economists and financial advisors will benefit from the potent balance of theory and hard data on mean-variance analysis aimed at improving decision-making skills. Written for the academic and the practitioner with some math skills (mostly high school algebra), this richly illustrated guide arms you with: Concrete steps to accurately select and apply the right risk measures in a given circumstance Rare surveys of a half-century of literature covering the applicability of MPT Empirical data showing mean and riskmeasure used to maximize return in the long term PRAISE FOR RISK-RETURN ANALYSIS "Harry Markowitz invented portfolio analysis and presented the theory in his famous 1952 article and 1959 book. Nobody has greater insight into the process than Harry. No academic or practitioner can truly claim to understand portfolio analysis unless they have read this volume." -- Martin J. Gruber, Professor Emeritus and Scholar in Residence, Stern School of Business, New York University "Surveying the vast literature inspired by [Markowitz's] own 1959 book has stimulated an outpouring of ideas. He builds on the strengths and limitations of the important papers in order to come up with a position that should silence a lot of critics." -- Jack Treynor, President, Treynor Capital Management "The authors do not overlook various criticisms of the MPT, but rather address them convincingly. This excellent book is an essential reference for academics and practitioners alike." -- Haim Levy, Miles Robinson Professor of Finance, Hebrew University, Jerusalem, Israel "Markowitz’s groundbreaking publications on Portfolio Selection prescribe a methodology that a rational decision-maker can follow to optimize his investment portfolio in a risky world. . . . This challenging new book clarifies many common misconceptions about modern portfolio theory." -- Roger C. Gibson, author of Asset Allocation and Chief Investment Officer, Gibson Capital, LLC "Contain[s] great wisdom that every economist, portfolio manager, and investor should savor page by page." -- Andrew W. Lo, Charles E. and Susan T. Harris Professor and Director, Laboratory for Financial Engineering, MIT Sloan School of Management "[Markowitz's] monumental work in the 1950s would be sufficient to qualify as a lifetime achievement for most mortals, but he keeps spouting fresh insights like lightning flashes year after year, and penetrating ever deeper into the theory, mathematics, and practice of investing." -- Martin Leibowitz, Managing Director, Global Research Strategy, Morgan Stanley "Risk–Return Analysis is a wonderful work in progress by a remarkable scholar who always has time to read what matters, who has the deepest appreciation of scientific achievement, and who has the highest aspirations for the future." -- Enterprising Investor (CFA Institute)

Risk-Return Analysis, Volume 2: The Theory and Practice of Rational Investing

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Author :
Publisher : McGraw Hill Professional
ISBN 13 : 0071830103
Total Pages : 400 pages
Book Rating : 4.0/5 (718 download)

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Book Synopsis Risk-Return Analysis, Volume 2: The Theory and Practice of Rational Investing by : Harry M. Markowitz

Download or read book Risk-Return Analysis, Volume 2: The Theory and Practice of Rational Investing written by Harry M. Markowitz and published by McGraw Hill Professional. This book was released on 2016-05-27 with total page 400 pages. Available in PDF, EPUB and Kindle. Book excerpt: The Nobel Prize-winning Father of Modern Portfolio Theory returns with new insights on his classic work to help you build a lasting portfolio today Contemporary investing as we know it would not exist without these two words: “Portfolio selection.” Though it may not seem revolutionary today, the concept of examining and purchasing many diverse stocks—creating a portfolio—changed the face of finance when Harry M. Markowitz devised the idea in 1952. In the past six decades, Markowitz has risen to international acclaim as the father of Modern Portfolio Theory (MPT), with his evaluation of the impact of asset risk, diversification, and correlation in the risk-return tradeoff. In defending the idea that portfolio risk was essential to strategic asset growth, he showed the world how to invest for the long-run in the face of any economy. In Risk Return Analysis, this groundbreaking four-book series, the legendary economist and Nobel Laureate returns to revisit his masterpiece theory, discuss its developments, and prove its vitality in the ever-changing global economy. Volume 2 picks up where the first volume left off, with Markowitz’s personal reflections and current strategies. In this volume, Markowitz focuses on the relationship between single-period choices—now—and longer run goals. He discusses dynamic systems and models, the asset allocation “glide-path,” inter-generational investment needs, and financial decision support systems. Written with both the academic and the practitioner in mind, this richly illustrated volume provides investors, economists, and financial advisors with a refined look at MPT, highlighting the rational decision-making and probability beliefs that are essential to creating and maintaining a successful portfolio today.

Investments

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 1119578078
Total Pages : 672 pages
Book Rating : 4.1/5 (195 download)

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Book Synopsis Investments by : Jones

Download or read book Investments written by Jones and published by John Wiley & Sons. This book was released on 2019-11-19 with total page 672 pages. Available in PDF, EPUB and Kindle. Book excerpt: The revised and updated fourteenth edition of Investments: Analysis and Management explains the essentials of investing and supports good investment decisions. More than a simple introduction to the subject, this comprehensive textbook prepares students to handle real-world investment problems and controversies in a clear and accessible manner. Emphasizing readability, Authors Charles Jones and Gerald Jensen minimize complex formulas and simplify difficult material—enabling students of all levels and backgrounds to follow the entire discussion and delve further into the subject. Ideally suited for beginning courses in investments, this textbook is designed as a practical guide to help students gain foundational knowledge of investing and develop the analytic skills necessary for deciphering investment issues. Carefully organized chapters guide students through fundamental investing concepts, portfolio and capital market theory, common stock analysis and valuation, fixed-income and derivative securities, the specifics of security analysis and portfolio management, and more. A broad range of pedagogical tools—including bulleted summaries, numbered examples, spreadsheet exercises, computational problems, and an extensive set of chapter review questions—strengthens student comprehension and retention.

A Systems Perspective on Financial Systems

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Author :
Publisher : CRC Press
ISBN 13 : 113802628X
Total Pages : 572 pages
Book Rating : 4.1/5 (38 download)

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Book Synopsis A Systems Perspective on Financial Systems by : Jeffrey Yi-Lin Forrest

Download or read book A Systems Perspective on Financial Systems written by Jeffrey Yi-Lin Forrest and published by CRC Press. This book was released on 2014-03-03 with total page 572 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book is devoted to a systems-theoretical presentation of the main results of applying the systemic yoyo model and relevant analytical tools to the topics of money and financial institutions. The author presents the main concepts and results of the subject matter in the language of systems science, which has in the past century prompted revolutionary applicati ons of systems research in various subfields of traditional disciplines. This volume applies a brand new logic of reasoning to some of the unsett led problems in the area of money and banking. Due to the particular systemic approach employed, the reader will be able to see how different economic activities are implicitly related to each other and how financial decisions are holistically made in reference to seemingly unrelated events. That is, the learning of this particular subject matter takes place at a different, more elevated level, from which, among others, economies are respectively seen as both closed and open systems; their interactions emulate those of rotational pools of fluids. This book can be used as a textbook for researchers and graduate students in economics, finance, systems science, and mathematical / systems modeling. It will also be useful as a reference book for applied economists and various policy makers.

St. Nicholas

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Publisher :
ISBN 13 :
Total Pages : 506 pages
Book Rating : 4.7/5 (472 download)

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Book Synopsis St. Nicholas by :

Download or read book St. Nicholas written by and published by . This book was released on 1882 with total page 506 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Help, I'm Rich!

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 1119020557
Total Pages : 356 pages
Book Rating : 4.1/5 (19 download)

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Book Synopsis Help, I'm Rich! by : Kees Stoute

Download or read book Help, I'm Rich! written by Kees Stoute and published by John Wiley & Sons. This book was released on 2014-10-29 with total page 356 pages. Available in PDF, EPUB and Kindle. Book excerpt: Manage and protect your wealth with the help of a private bank Help! I'm Rich! is a detailed examination of how private banking services can help high net worth individuals take charge over their wealth and protect their assets. Designed to increase the ability to discern between 'adding value' and 'self-orientation' and thus improve the professional relationship between private bankers and clients, this reader-friendly guide explains the concerns that typically come along with wealth, and the various ways in which private banks can help clients deal with these challenges effectively. You will learn what private banks do, which services they offer, and how to find and approach a private bank. Case studies illustrate the various scenarios presented, and graphs, tables, cartoons and diagrams help facilitate a true understanding of what private banks can do for you. A detailed description of the various asset classes explains the reasons for — and risks of — investing at each level, giving you a better idea of the wealth management methods that have proven effective for others in your class. Whether you are new to wealth or are newly tasked with the money management aspect of it, it's vital for you to understand the ways in which your high net worth changes the game. This book is an indispensable guide to understanding the common challenges of the wealthy, and the crucial role private banks play in dealing with these challenges. Understand the challenges wealth brings to money management Discover how private banks can help address specific concerns Learn the questions you should ask your private banker Make better financial decisions by having an expert in your corner The more money you have, the more attention it requires, and the solutions tend to get more complicated. The support of a professional services provider seems not only unavoidable but highly desirable. Help! I'm Rich! shows you how to gain the most out of your private banking experience, with detailed guidance and expert advice.

Slayer’s Return: A Second Chance Mate Werewolf Romance (The Lottery Mate The End)

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Author :
Publisher : Starlight
ISBN 13 :
Total Pages : 275 pages
Book Rating : 4./5 ( download)

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Book Synopsis Slayer’s Return: A Second Chance Mate Werewolf Romance (The Lottery Mate The End) by : Tamar Leo

Download or read book Slayer’s Return: A Second Chance Mate Werewolf Romance (The Lottery Mate The End) written by Tamar Leo and published by Starlight. This book was released on 2022-12-05 with total page 275 pages. Available in PDF, EPUB and Kindle. Book excerpt:

The Journal of Business of the University of Chicago

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Publisher :
ISBN 13 :
Total Pages : 568 pages
Book Rating : 4.:/5 (44 download)

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Book Synopsis The Journal of Business of the University of Chicago by :

Download or read book The Journal of Business of the University of Chicago written by and published by . This book was released on 1928 with total page 568 pages. Available in PDF, EPUB and Kindle. Book excerpt: Contains research and analysis of issues of importance to the business community.

The Failure of Risk Management

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Publisher : John Wiley & Sons
ISBN 13 : 111952203X
Total Pages : 391 pages
Book Rating : 4.1/5 (195 download)

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Book Synopsis The Failure of Risk Management by : Douglas W. Hubbard

Download or read book The Failure of Risk Management written by Douglas W. Hubbard and published by John Wiley & Sons. This book was released on 2020-03-04 with total page 391 pages. Available in PDF, EPUB and Kindle. Book excerpt: A practical guide to adopting an accurate risk analysis methodology The Failure of Risk Management provides effective solutionstosignificantfaults in current risk analysis methods. Conventional approaches to managing risk lack accurate quantitative analysis methods, yielding strategies that can actually make things worse. Many widely used methods have no systems to measure performance, resulting in inaccurate selection and ineffective application of risk management strategies. These fundamental flaws propagate unrealistic perceptions of risk in business, government, and the general public. This book provides expert examination of essential areas of risk management, including risk assessment and evaluation methods, risk mitigation strategies, common errors in quantitative models, and more. Guidance on topics such as probability modelling and empirical inputs emphasizes the efficacy of appropriate risk methodology in practical applications. Recognized as a leader in the field of risk management, author Douglas W. Hubbard combines science-based analysis with real-world examples to present a detailed investigation of risk management practices. This revised and updated second edition includes updated data sets and checklists, expanded coverage of innovative statistical methods, and new cases of current risk management issues such as data breaches and natural disasters. Identify deficiencies in your current risk management strategy and take appropriate corrective measures Adopt a calibrated approach to risk analysis using up-to-date statistical tools Employ accurate quantitative risk analysis and modelling methods Keep pace with new developments in the rapidly expanding risk analysis industry Risk analysis is a vital component of government policy, public safety, banking and finance, and many other public and private institutions. The Failure of Risk Management: Why It's Broken and How to Fix It is a valuable resource for business leaders, policy makers, managers, consultants, and practitioners across industries.

Investing in Mortgage-Backed and Asset-Backed Securities

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 1119221536
Total Pages : 419 pages
Book Rating : 4.1/5 (192 download)

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Book Synopsis Investing in Mortgage-Backed and Asset-Backed Securities by : Glenn M. Schultz

Download or read book Investing in Mortgage-Backed and Asset-Backed Securities written by Glenn M. Schultz and published by John Wiley & Sons. This book was released on 2016-01-07 with total page 419 pages. Available in PDF, EPUB and Kindle. Book excerpt: A complete guide to investing in and managing a portfolio of mortgage- and asset-backed securities Mortgage- and asset-backed securities are not as complex as they might seem. In fact, all of the information, financial models, and software needed to successfully invest in and manage a portfolio of these securities are available to the investment professional through open source software. Investing in Mortgage and Asset-Backed Securities + Website shows you how to achieve this goal. The book draws entirely on publicly available data and open source software to construct a complete analytic framework for investing in these securities. The analytic models used throughout the book either exist in the quantlib library, as an R package, or are programmed in R and incorporated into the analytic framework used. Examines the valuation of fixed-income securities—metrics, valuation framework, and return analysis Covers residential mortgage-backed securities—security cash flow, mortgage dollar roll, adjustable rate mortgages, and private label MBS Discusses prepayment modeling and the valuation of mortgage credit Presents mortgage-backed securities valuation techniques—pass-through valuation and interest rate models Engaging and informative, this book skillfully shows you how to build, rather than buy, models and proprietary analytical platforms that will allow you to invest in mortgage- and asset-backed securities.

Wiley 11th Hour Guide for 2015 Level I CFA

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 1119032466
Total Pages : 448 pages
Book Rating : 4.1/5 (19 download)

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Book Synopsis Wiley 11th Hour Guide for 2015 Level I CFA by : Wiley

Download or read book Wiley 11th Hour Guide for 2015 Level I CFA written by Wiley and published by John Wiley & Sons. This book was released on 2015-03-30 with total page 448 pages. Available in PDF, EPUB and Kindle. Book excerpt: Final Review Guide for Level I CFA Exam Wiley 11th Hour Guide for 2015 Level 1 CFA Exam compacts all sixty readings tested on the 2015 CFA exam into one portable volume. Organized in order from Reading #1 to #60, this best-selling guide has helped thousands of candidates from over one-hundred countries pass the CFA exam. Designed to boil it all down to the crucial concepts, formulas and rules, this guide ensures candidates are familiar with the most important testable information. It's difficult to go over multiple books in the last few weeks before the exam, so Wiley 11th Hour Guide does the work for you—condensing each reading down to two- to five pages. Enter the exam room with confidence and reinforce your knowledge and preparation! This comprehensive guide complements Wiley's CFA Study Guides sold separately but may be used with any review course. An effective, efficient study guide, this book prepares you to reach the next level in your career. The CFA exam program is highly regarded, and earning the designation of CFA requires you to pass three different examinations. The core concepts of the Level 1 exam are foundational ideas that you must master before moving onto the next exam—and this guide can help you do so. Review essential concepts and formulas of the CFA exam Access a large amount of information in a condensed, efficient format Reinforce your understanding of key ideas with supplemental notes and tips from trusted instructors Optimize your study time with an effective resource that addresses CFA candidate needs Wiley 11th Hour Guide for 2015 Level 1 CFA Exam offers an exam preparation course that sees you through the final stages of your studies.

The Comédie Humaine

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Publisher :
ISBN 13 :
Total Pages : 428 pages
Book Rating : 4.:/5 (318 download)

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Book Synopsis The Comédie Humaine by : Honoré de Balzac

Download or read book The Comédie Humaine written by Honoré de Balzac and published by . This book was released on 1897 with total page 428 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Managing Your Investment Portfolio For Dummies - UK

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 1118457099
Total Pages : 388 pages
Book Rating : 4.1/5 (184 download)

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Book Synopsis Managing Your Investment Portfolio For Dummies - UK by : David Stevenson

Download or read book Managing Your Investment Portfolio For Dummies - UK written by David Stevenson and published by John Wiley & Sons. This book was released on 2013-08-19 with total page 388 pages. Available in PDF, EPUB and Kindle. Book excerpt: Achieve positive returns on your investments, in any market With Managing Your Investment Portfolio FD you can build and manage a portfolio of investments that’s flexible enough to provide positive returns, no matter what the market is doing. Inside you’ll find a wealth of strategies and techniques to help you take your investments to the next level. Lean to track and predict volatility; hedge your exposure by going long and short; use strategies like arbitrage, relative value and pairs trading; and dip into distressed assets, options, derivatives, spread betting and much more. Techniques and strategies covered include: Tracking and predicting volatility, and making short-term gains on very volatile markets Hedging exposure and going long and short Arbitrage (taking advantage of price differences between markets) Pairs trading Relative value strategies Distressed assets (things written off by the mainstream that may have long-term value) Earnings surprises (looking for companies delivering better earnings than predicted by analysts) Options and derivatives Macro trading (looking at key indicators for economic cycles)

Data Driven Business Decisions

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Publisher : John Wiley & Sons
ISBN 13 : 0470619600
Total Pages : 512 pages
Book Rating : 4.4/5 (76 download)

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Book Synopsis Data Driven Business Decisions by : Chris J. Lloyd

Download or read book Data Driven Business Decisions written by Chris J. Lloyd and published by John Wiley & Sons. This book was released on 2011-10-25 with total page 512 pages. Available in PDF, EPUB and Kindle. Book excerpt: A hands-on guide to the use of quantitative methods and software for making successful business decisions The appropriate use of quantitative methods lies at the core of successful decisions made by managers, researchers, and students in the field of business. Providing a framework for the development of sound judgment and the ability to utilize quantitative and qualitative approaches, Data Driven Business Decisions introduces readers to the important role that data plays in understanding business outcomes, addressing four general areas that managers need to know about: data handling and Microsoft Excel®, uncertainty, the relationship between inputs and outputs, and complex decisions with trade-offs and uncertainty. Grounded in the author's own classroom approach to business statistics, the book reveals how to use data to understand the drivers of business outcomes, which in turn allows for data-driven business decisions. A basic, non-mathematical foundation in statistics is provided, outlining for readers the tools needed to link data with business decisions; account for uncertainty in the actions of others and in patterns revealed by data; handle data in Excel®; translate their analysis into simple business terms; and present results in simple tables and charts. The author discusses key data analytic frameworks, such as decision trees and multiple regression, and also explores additional topics, including: Use of the Excel® functions Solver and Goal Seek Partial correlation and auto-correlation Interactions and proportional variation in regression models Seasonal adjustment and what it reveals Basic portfolio theory as an introduction to correlations Chapters are introduced with case studies that integrate simple ideas into the larger business context, and are followed by further details, raw data, and motivating insights. Algebraic notation is used only when necessary, and throughout the book, the author utilizes real-world examples from diverse areas such as market surveys, finance, economics, and business ethics. Excel® add-ins StatproGo and TreePlan are showcased to demonstrate execution of the techniques, and a related website features extensive programming instructions as well as insights, data sets, and solutions to problems included in the material. Data Driven Business Decisions is an excellent book for MBA quantitative analysis courses or undergraduate general statistics courses. It also serves as a valuable reference for practicing MBAs and practitioners in the fields of statistics, business, and finance.