The Plot Against America

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Publisher : HarperCollins
ISBN 13 : 0547345313
Total Pages : 401 pages
Book Rating : 4.5/5 (473 download)

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Book Synopsis The Plot Against America by : Philip Roth

Download or read book The Plot Against America written by Philip Roth and published by HarperCollins. This book was released on 2004-10-05 with total page 401 pages. Available in PDF, EPUB and Kindle. Book excerpt: Philip Roth's bestselling alternate history—the chilling story of what happens to one family when America elects a charismatic, isolationist president—is soon to be an HBO limited series. In an extraordinary feat of narrative invention, Philip Roth imagines an alternate history where Franklin D. Roosevelt loses the 1940 presidential election to heroic aviator and rabid isolationist Charles A. Lindbergh. Shortly thereafter, Lindbergh negotiates a cordial “understanding” with Adolf Hitler, while the new government embarks on a program of folksy anti-Semitism. For one boy growing up in Newark, Lindbergh’s election is the first in a series of ruptures that threaten to destroy his small, safe corner of America–and with it, his mother, his father, and his older brother. "A terrific political novel . . . Sinister, vivid, dreamlike . . . creepily plausible. . . You turn the pages, astonished and frightened.” — The New York Times Book Review

Quantitative Investment Analysis

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Publisher : John Wiley & Sons
ISBN 13 : 1119104599
Total Pages : 634 pages
Book Rating : 4.1/5 (191 download)

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Book Synopsis Quantitative Investment Analysis by : Richard A. DeFusco

Download or read book Quantitative Investment Analysis written by Richard A. DeFusco and published by John Wiley & Sons. This book was released on 2015-10-15 with total page 634 pages. Available in PDF, EPUB and Kindle. Book excerpt: Your complete guide to quantitative analysis in the investment industry Quantitative Investment Analysis, Third Edition is a newly revised and updated text that presents you with a blend of theory and practice materials to guide you through the use of statistics within the context of finance and investment. With equal focus on theoretical concepts and their practical applications, this approachable resource offers features, such as learning outcome statements, that are targeted at helping you understand, retain, and apply the information you have learned. Throughout the text's chapters, you explore a wide range of topics, such as the time value of money, discounted cash flow applications, common probability distributions, sampling and estimation, hypothesis testing, and correlation and regression. Applying quantitative analysis to the investment process is an important task for investment pros and students. A reference that provides even subject matter treatment, consistent mathematical notation, and continuity in topic coverage will make the learning process easier—and will bolster your success. Explore the materials you need to apply quantitative analysis to finance and investment data—even if you have no previous knowledge of this subject area Access updated content that offers insight into the latest topics relevant to the field Consider a wide range of subject areas within the text, including chapters on multiple regression, issues in regression analysis, time-series analysis, and portfolio concepts Leverage supplemental materials, including the companion Workbook and Instructor's Manual, sold separately Quantitative Investment Analysis, Third Edition is a fundamental resource that covers the wide range of quantitative methods you need to know in order to apply quantitative analysis to the investment process.

Skew-Elliptical Distributions and Their Applications

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Author :
Publisher : CRC Press
ISBN 13 : 1135437319
Total Pages : 417 pages
Book Rating : 4.1/5 (354 download)

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Book Synopsis Skew-Elliptical Distributions and Their Applications by : Marc G. Genton

Download or read book Skew-Elliptical Distributions and Their Applications written by Marc G. Genton and published by CRC Press. This book was released on 2004-07-27 with total page 417 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book reviews the state-of-the-art advances in skew-elliptical distributions and provides many new developments in a single volume, collecting theoretical results and applications previously scattered throughout the literature. The main goal of this research area is to develop flexible parametric classes of distributions beyond the classical normal distribution. The book is divided into two parts. The first part discusses theory and inference for skew-elliptical distribution. The second part examines applications and case studies, including areas such as economics, finance, oceanography, climatology, environmetrics, engineering, image processing, astronomy, and biomedical science.

Trend Following

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Publisher : John Wiley & Sons
ISBN 13 : 1119371902
Total Pages : 798 pages
Book Rating : 4.1/5 (193 download)

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Book Synopsis Trend Following by : Michael W. Covel

Download or read book Trend Following written by Michael W. Covel and published by John Wiley & Sons. This book was released on 2017-04-10 with total page 798 pages. Available in PDF, EPUB and Kindle. Book excerpt: Want to take the financial journey to a new investing philosophy that might very well affect the rest of your moneymaking life? No one can guarantee the yellow brick road, but Michael Covel promises the red pill will leave you wide freaking awake. Trend Following reveals the truth about a trading strategy that makes money in up, down and surprise markets. By applying straightforward and repeatable rules, anyone can learn to make money in the markets whether bull, bear, or black swan—by following the trend to the end when it bends. In this timely reboot of his bestselling classic, Michael Covel dives headfirst into trend following strategy to examine the risks, benefits, people, and systems. You’ll hear from traders who have made millions by following trends, and learn from their successes and mistakes—insights only here. You’ll learn the trend philosophy, and how it has performed in booms, bubbles, panics and crashes. Using incontrovertible data and overwhelming supporting evidence, with a direct connection to the foundations of behavioral finance, Covel takes you inside the core principles of trend following and shows everyone, from brand new trader to professional, how alpha gets pulled from the market. Covel’s newest edition has been revised and extended, with 7 brand new interviews and research proof from his one of kind network. This is trend following for today’s generation. If you’re looking to go beyond passive index funds and trusting the Fed, this cutting edge classic holds the keys to a weatherproof portfolio. Meet great trend followers learning their rules and philosophy of the game Examine data to see how trend following excels when the you-know-what hits the fan Understand trend trading, from behavioral economics to rules based decision-making to its lambasting of the efficient markets theory Compare trend trading systems to do it yourself or invest with a trend fund Trend following is not prediction, passive index investing, buy and hope or any form of fundamental analysis. It utilizes concrete rules, or heuristics, to profit from a behavioral perspective. Trend Following is clear-cut, straightforward and evidence-based and will secure your financial future in bull, bear and black swan markets. If you’re finally ready to profit in the markets, Trend Following is the definitive treatise for a complex world in constant chaos.

India's Transforming Financial Sector

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Publisher : Atlantic Publishers & Dist
ISBN 13 : 9788126908080
Total Pages : 452 pages
Book Rating : 4.9/5 (8 download)

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Book Synopsis India's Transforming Financial Sector by : Manoranjan Sharma

Download or read book India's Transforming Financial Sector written by Manoranjan Sharma and published by Atlantic Publishers & Dist. This book was released on 2007 with total page 452 pages. Available in PDF, EPUB and Kindle. Book excerpt: India Has Entered The Second Stage Of Financial Sector Development, Where Market Forces Are Helping In Resources Allocation And Efficient Price Discovery Process.The Harmonization Of Regulatory Institutions And Devising Of New Financial Architecture Is Necessary To Enhance The Resilience Of India S Financial Sector And Reduce The Fragility Of Some Financial Institutions. High Exposure In Government Securities, Government Guaranteed Loans, Improper Valuation Of Collaterals, Vulnerability To Interest Rate Cycle, Still High Level Of Npas, Unsatisfactory Corporate Governance And Disclosures, Inadequate Surveillance, Stock Market Volatility, Risk Concentration And Policy Failure Cause Concern. This Necessitates Improving Transparency And Governance, Resolving Failure In The Industrial And Financial Sector, De-Linking Government And Private Sector, Fostering Innovation, And Improving The Supervisory And Regulatory Infrastructure. Given The Debilitating Impact Of Financial Sector Crisis On The Economy, The Stability Of The Financial Sector Should Be The Goal Of The Economy. Financial Stability Can Be Strengthened By Improved Financial Infrastructure, Enhanced Competition And Restructured Segments Of Financial System.Reform Measures Enhanced Efficiency And Stability Of The Banking System In India. Indian Banks Are Well Placed Compared With Their Counterparts In Developed Countries. But There Are Persisting Issues Of Removal Of Structural Barriers To Competition, Privatisation Of Banking System, Radical Restructuring, Downsizing Of The Balance Sheet, Recapitalisation And Eventual Privatisation Of The Financial Institutions, Withdrawal Of Quantitative Credit Controls And Directed Credit And Modernisation Of The Payment System. The Inexorable Process Of Economic Reforms Must Continue To Slash Poverty And Support Sustainable Development While Strengthening Financial Institutions. This Overarching Goal Of Development Needs A Renewed Thrust On Financial Sector Reforms. The Papers Included In The Present Book Cover Large Areas, But All Coalesce Into The Central Theme Of India S Transforming Financial Sector. It Is Hoped That The Book Will Prove Useful To A Wide Cross Section Of The Reading Public, Including Scholars And Academics, The Government Executives, International Institutions, Business Communities, And Planners And Policymakers.

Wiley FRM Exam Review Study Guide 2016 Part I Volume 2

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 1119269938
Total Pages : 235 pages
Book Rating : 4.1/5 (192 download)

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Book Synopsis Wiley FRM Exam Review Study Guide 2016 Part I Volume 2 by : Wiley

Download or read book Wiley FRM Exam Review Study Guide 2016 Part I Volume 2 written by Wiley and published by John Wiley & Sons. This book was released on 2016-01-19 with total page 235 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Talent Abroad: A Review of Romanian Emigrants

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Author :
Publisher : OECD Publishing
ISBN 13 : 9264880127
Total Pages : 174 pages
Book Rating : 4.2/5 (648 download)

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Book Synopsis Talent Abroad: A Review of Romanian Emigrants by : OECD

Download or read book Talent Abroad: A Review of Romanian Emigrants written by OECD and published by OECD Publishing. This book was released on 2019-07-16 with total page 174 pages. Available in PDF, EPUB and Kindle. Book excerpt: This review provides the first comprehensive portrait of the Romanian diaspora in OECD countries. By profiling Romanian emigrants, this review aims to strengthen knowledge about this community and thus help to consolidate the relevance of the policies deployed by Romania towards its emigrants.

CFA Program Curriculum 2018 Level I

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 1119396654
Total Pages : 3708 pages
Book Rating : 4.1/5 (193 download)

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Book Synopsis CFA Program Curriculum 2018 Level I by : CFA Institute

Download or read book CFA Program Curriculum 2018 Level I written by CFA Institute and published by John Wiley & Sons. This book was released on 2017-08-01 with total page 3708 pages. Available in PDF, EPUB and Kindle. Book excerpt: Clear, concise instruction for all CFA Level I concepts and competencies for the 2018 exam The same official curricula that CFA Program candidates receive with program registration is now publicly available for purchase. CFA Program Curriculum 2018 Level I, Volumes 1-6 provides the complete Level I Curriculum for the 2018 exam, delivering the Candidate Body of Knowledge (CBOK) with expert instruction on all 10 topic areas of the CFA Program. Fundamental concepts are explained in-depth with a heavily visual style, while cases and examples demonstrate how concepts apply in real-world scenarios. Coverage includes ethical and professional standards, quantitative analysis, economics, financial reporting and analysis, corporate finance, equities, fixed income, derivatives, alternative investments, and portfolio management, all organized into individual sessions with clearly defined Learning Outcome Statements. Charts, graphs, figures, diagrams, and financial statements illustrate concepts to facilitate retention, and practice questions provide the opportunity to gauge your understanding while reinforcing important concepts. Learning Outcome Statement checklists guide readers to important concepts to derive from the readings Embedded case studies and examples throughout demonstrate practical application of concepts Figures, diagrams, and additional commentary make difficult concepts accessible Practice problems support learning and retention CFA Institute promotes the highest standards of ethics, education, and professional excellence among investment professionals. The CFA Program Curriculum guides you through the breadth of knowledge required to uphold these standards.The three levels of the program build on each other. Level I provides foundational knowledge and teaches the use of investment tools; Level II focuses on application of concepts and analysis, particularly in the valuation of assets; and Level III builds toward synthesis across topics with an emphasis on portfolio management.

Sample Size, Skewness and Leverage Effects in Value at Risk and Expected Shortfall Estimation

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Author :
Publisher : Ed. Universidad de Cantabria
ISBN 13 : 8481029122
Total Pages : 162 pages
Book Rating : 4.4/5 (81 download)

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Book Synopsis Sample Size, Skewness and Leverage Effects in Value at Risk and Expected Shortfall Estimation by : Laura García Jorcano

Download or read book Sample Size, Skewness and Leverage Effects in Value at Risk and Expected Shortfall Estimation written by Laura García Jorcano and published by Ed. Universidad de Cantabria. This book was released on 2020-02-24 with total page 162 pages. Available in PDF, EPUB and Kindle. Book excerpt: The thesis analyzes the effect that the sample size, the asymmetry in the distribution of returns and the leverage in their volatility have on the estimation and forecasting of market risk in financial assets. The goal is to compare the performance of a variety of models for the estimation and forecasting of Value at Risk (VaR) and Expected Shortfall (ES) for a set of assets of different nature: market indexes, individual stocks, bonds, exchange rates, and commodities. The three chapters of the thesis address issues of greatest interest for the measurement of risk in financial institutions and, therefore, for the supervision of risks in the financial system. They deal with technical issues related to the implementation of the Basel Committee's guidelines on some aspects of which very little is known in the academic world and in the specialized financial sector. In the first chapter, a numerical correction is proposed on the values usually estimatedwhen there is little statistical information, either because it is a financial asset (bond, investment fund...) recently created or issued, or because the nature or the structure of the asset or portfolio have recently changed. The second chapter analyzes the relevance of different aspects of risk modeling. The third and last chapter provides a characterization of the preferable methodology to comply with Basel requirements related to the backtesting of the Expected Shortfall.

Portfolio Theory and Management

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Publisher : Oxford University Press
ISBN 13 : 019931151X
Total Pages : 798 pages
Book Rating : 4.1/5 (993 download)

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Book Synopsis Portfolio Theory and Management by : H. Kent Baker

Download or read book Portfolio Theory and Management written by H. Kent Baker and published by Oxford University Press. This book was released on 2013-01-07 with total page 798 pages. Available in PDF, EPUB and Kindle. Book excerpt: Portfolio management is an ongoing process of constructing portfolios that balances an investor's objectives with the portfolio manager's expectations about the future. This dynamic process provides the payoff for investors. Portfolio management evaluates individual assets or investments by their contribution to the risk and return of an investor's portfolio rather than in isolation. This is called the portfolio perspective. Thus, by constructing a diversified portfolio, a portfolio manager can reduce risk for a given level of expected return, compared to investing in an individual asset or security. According to modern portfolio theory (MPT), investors who do not follow a portfolio perspective bear risk that is not rewarded with greater expected return. Portfolio diversification works best when financial markets are operating normally compared to periods of market turmoil such as the 2007-2008 financial crisis. During periods of turmoil, correlations tend to increase thus reducing the benefits of diversification. Portfolio management today emerges as a dynamic process, which continues to evolve at a rapid pace. The purpose of Portfolio Theory and Management is to take readers from the foundations of portfolio management with the contributions of financial pioneers up to the latest trends emerging within the context of special topics. The book includes discussions of portfolio theory and management both before and after the 2007-2008 financial crisis. This volume provides a critical reflection of what worked and what did not work viewed from the perspective of the recent financial crisis. Further, the book is not restricted to the U.S. market but takes a more global focus by highlighting cross-country differences and practices. This 30-chapter book consists of seven sections. These chapters are: (1) portfolio theory and asset pricing, (2) the investment policy statement and fiduciary duties, (3) asset allocation and portfolio construction, (4) risk management, (V) portfolio execution, monitoring, and rebalancing, (6) evaluating and reporting portfolio performance, and (7) special topics.

Fat-Tailed and Skewed Asset Return Distributions

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Publisher : John Wiley & Sons
ISBN 13 : 0471758906
Total Pages : 385 pages
Book Rating : 4.4/5 (717 download)

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Book Synopsis Fat-Tailed and Skewed Asset Return Distributions by : Svetlozar T. Rachev

Download or read book Fat-Tailed and Skewed Asset Return Distributions written by Svetlozar T. Rachev and published by John Wiley & Sons. This book was released on 2005-09-15 with total page 385 pages. Available in PDF, EPUB and Kindle. Book excerpt: While mainstream financial theories and applications assume that asset returns are normally distributed, overwhelming empirical evidence shows otherwise. Yet many professionals don’t appreciate the highly statistical models that take this empirical evidence into consideration. Fat-Tailed and Skewed Asset Return Distributions examines this dilemma and offers readers a less technical look at how portfolio selection, risk management, and option pricing modeling should and can be undertaken when the assumption of a non-normal distribution for asset returns is violated. Topics covered in this comprehensive book include an extensive discussion of probability distributions, estimating probability distributions, portfolio selection, alternative risk measures, and much more. Fat-Tailed and Skewed Asset Return Distributions provides a bridge between the highly technical theory of statistical distributional analysis, stochastic processes, and econometrics of financial returns and real-world risk management and investments.

International Media Communication in a Global Age

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Publisher : Routledge
ISBN 13 : 1135838828
Total Pages : 523 pages
Book Rating : 4.1/5 (358 download)

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Book Synopsis International Media Communication in a Global Age by : Guy Golan

Download or read book International Media Communication in a Global Age written by Guy Golan and published by Routledge. This book was released on 2009-09-10 with total page 523 pages. Available in PDF, EPUB and Kindle. Book excerpt: This volume provides a comprehensive examination of key issues regarding global communication, focusing particularly on international news and strategic communication. It addresses those news factors that influence the newsworthiness of international events, providing a synthesis of both theoretical and practical studies that highlight the complicated nature of the international news selection process. It also deals with international news coverage, presenting research on the cross-national and cross-cultural nature of media coverage of global events, in the interdisciplinary context of research on political communication, war coverage, new technologies and online communication. The work concludes with a focus on global strategic communications: in the age of globalization, global economies and cross-national media ownership, chapters here provide readers with some of the most up-to-date research on international advertising, public relations and other key issues in international communications. With contributions from many of the leading scholars in the field of international media communication research, this collection presents a valuable resource for advancing knowledge and understanding of the complicated international communication phenomenon. It will be of value to upper-level undergraduates and graduate students in mass media and communication programs, and to scholars whose research focuses on global communication research.

A Study of Risky Business Outcomes

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Publisher : Emerald Group Publishing
ISBN 13 : 1837970769
Total Pages : 132 pages
Book Rating : 4.8/5 (379 download)

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Book Synopsis A Study of Risky Business Outcomes by : Torben Juul Andersen

Download or read book A Study of Risky Business Outcomes written by Torben Juul Andersen and published by Emerald Group Publishing. This book was released on 2023-09-29 with total page 132 pages. Available in PDF, EPUB and Kindle. Book excerpt: The research presented here is developed from analyses of extensive European and North American datasets (1995-2019) spanning periods of economic expansion, recession, and recovery and explores how firms manage in a world with extreme exposures and how their failure and success affect the distribution of financial returns.

Spending for Development

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Publisher : World Bank Publications
ISBN 13 : 0821373218
Total Pages : 229 pages
Book Rating : 4.8/5 (213 download)

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Book Synopsis Spending for Development by :

Download or read book Spending for Development written by and published by World Bank Publications. This book was released on 2008 with total page 229 pages. Available in PDF, EPUB and Kindle. Book excerpt: After almost a decade of successful macroeconomic management and several bold policy decisions, Indonesia is finally in a position of fiscal strength. Since 2006, Indonesia has freed up "fiscal space" of about US

The Quarterly Review of Economics and Finance

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Publisher :
ISBN 13 :
Total Pages : 116 pages
Book Rating : 4.:/5 (334 download)

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Book Synopsis The Quarterly Review of Economics and Finance by :

Download or read book The Quarterly Review of Economics and Finance written by and published by . This book was released on 2012-02 with total page 116 pages. Available in PDF, EPUB and Kindle. Book excerpt:

VC

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Publisher : Harvard University Press
ISBN 13 : 0674988000
Total Pages : 401 pages
Book Rating : 4.6/5 (749 download)

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Book Synopsis VC by : Tom Nicholas

Download or read book VC written by Tom Nicholas and published by Harvard University Press. This book was released on 2019-06-03 with total page 401 pages. Available in PDF, EPUB and Kindle. Book excerpt: From nineteenth-century whaling to a multitude of firms pursuing entrepreneurial finance today, venture finance reflects a deep-seated tradition in the deployment of risk capital in the United States. Tom Nicholas’s history of the venture capital industry offers a roller coaster ride through America’s ongoing pursuit of financial gain.

Small Change

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Publisher : University of Michigan Press
ISBN 13 : 0472024760
Total Pages : 302 pages
Book Rating : 4.4/5 (72 download)

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Book Synopsis Small Change by : Raymond J. La Raja

Download or read book Small Change written by Raymond J. La Raja and published by University of Michigan Press. This book was released on 2010-03-25 with total page 302 pages. Available in PDF, EPUB and Kindle. Book excerpt: Reformers lament that, with every effort to regulate the sources of campaign funding, candidates creatively circumvent the new legislation. But in fact, political fundraisers don't need to look for loopholes because, as Raymond J. La Raja proves, legislators intentionally design regulations to gain advantage over their partisan rivals. La Raja traces the history of the U.S. campaign finance system from the late nineteenth century through the passage of the Bipartisan Campaign Reform Act (BCRA) of 2002. Then, using the 2004 presidential election as a case study, he compares the ways in which Democrats and Republicans adapted their national fund-raising and campaigning strategies to satisfy BCRA regulations. Drawing upon this wealth of historical and recent evidence, he concludes with recommendations for reforming campaign finance in ways that promote fair competition among candidates and guarantee their accountability to voters. Small Change offers an engaging account of campaign finance reforms' contradictory history; it is a must-read for anyone concerned about influence of money on democratic elections.