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  • Economics for Fisheries Management

    Series series Ashgate Studies in Environmental and Natural Resource Economics
    Many of the world's fisheries face major challenges including overfishing, overcapacity and low returns. Using recent developments in microeconomic theory and with numerous case studies and examples, this book shows how to measure efficiency, productivity, profitability, capacity of fishing fleets and how to improve fisheries management. The book will prove invaluable to researchers, students and ... Read more

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    “We're going to raise traders just like they raise turtles in Singapore.”So trading guru Richard Dennis reportedly said to his long-time friend William Eckhardt nearly 25 years ago. What started as a bet about whether great traders were born or made became a legendary trading experiment that, until now, has never been told in its entirety.Way of the Turtle reveals, for the first time, the reasons ... Read more

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  • Inside the Black Box

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    Series series Wiley Finance
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  • The Value and Momentum Trader

    Dynamic Stock Selection Models to Beat the Market

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    Series Book 442 - Wiley Trading
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  • Credit Risk Management

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  • Full View Integrated Technical Analysis

    A Systematic Approach to Active Stock Market Investing

    by Xin Xie ...
    Series Book 19 - Wiley Trading
    A fresh approach to technical analysis utilizing a full view (multi-time frame) integrated analytical system.Has the bear market ended? Is the rebound lasting? Everybody wants an answer but nobody can provide one with a good degree of confidence. While fundamental analysis is notoriously weak when it comes to market timing decisions and price target forecasts, technical analysis is equally timid ... Read more

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  • Executive's Guide to Solvency II

    Series series Wiley and SAS Business Series
    A straightforward guide to the evolution, benefits, and implementation of Solvency IIProviding a guide to the evolution, practice, benefits, and implementation of Solvency II, Executive′s Guide to Solvency II deftly covers this major European regulation which ensures that insurers can meet their risk–based liabilities over a one–year period to a 99.5% certainty. Part of the Wiley and SAS Business ... Read more

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  • Lectures on Behavioral Macroeconomics

    In mainstream economics, and particularly in New Keynesian macroeconomics, the booms and busts that characterize capitalism arise because of large external shocks. The combination of these shocks and the slow adjustments of wages and prices by rational agents leads to cyclical movements. In this book, Paul De Grauwe argues for a different macroeconomics model--one that works with an internal ... Read more

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  • Economics

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  • Asset–Liability Management for Financial Institutions

    Balancing Financial Stability with Strategic Objectives

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    Series series Key Concepts
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  • Benefit-Cost Analysis

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    Benefit-Cost Analysis offers the perfect introduction to benefit–cost analysis. The book closely integrates the theory and practice of benefit–cost analysis using a spreadsheet framework. The spreadsheet model is constructed in a truly original way which contributes to transparency, provides a check on the accuracy of the analysis, and facilitates sensitivity, risk and alternative scenario ... Read more

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