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Top Series in United States

Showing 1 - 12 of 12 results for “john b abbink
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  • Alternative Assets and Strategic Allocation

    Rethinking the Institutional Approach

    Series Book 134 - Bloomberg
    An insightful guide to making strategic investment allocation decisions that embraces both alternative and conventional assetsIn this much-needed resource, alternative and portfolio management expert John Abbink demonstrates new ways of analyzing and deploying alternative assets and explains the practical application of these techniques.Alternative Assets and Strategic Allocation clearly shows how ... Read more

    $51.00 USD

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  • Expected Returns

    An Investor's Guide to Harvesting Market Rewards

    by Antti Ilmanen ...
    This comprehensive reference delivers a toolkit for harvesting market rewards from a wide range of investments. Written by a world-renowned industry expert, the reference discusses how to forecast returns under different parameters. Expected returns of major asset classes, investment strategies, and the effects of underlying risk factors such as growth, inflation, liquidity, and different risk ... Read more

    $74.00 USD

  • The Value and Momentum Trader

    Dynamic Stock Selection Models to Beat the Market

    by Grant Henning ...
    Series Book 442 - Wiley Trading
    A winning approach to stock trading based on proprietary statistical research in ExcelIn The Value and Momentum Trader, Grant Henning presents a comprehensive approach to stock trading, which centers around Excel-based research methods he has developed. In this book, Henning presents the trading tools he has used to become a successful trader, and discusses some of the greatest challenges facing ... Read more

    $48.00 USD

  • Corporate Valuation for Portfolio Investment

    Analyzing Assets, Earnings, Cash Flow, Stock Price, Governance, and Special Situations

    Series Book 132 - Bloomberg Financial
    A detailed guide to the discipline of corporate valuationDesigned for the professional investor who is building an investment portfolio that includes equity, Corporate Valuation for Portfolio Investment takes you through a range of approaches, including those primarily based on assets, earnings, cash flow, and securities prices, as well as hybrid techniques.Along the way, it discusses the ... Read more

    $60.00 USD

  • Capital Ideas Evolving

    "A lot has happened in the financial markets since 1992, when Peter Bernstein wrote his seminal Capital Ideas. Happily, Peter has taken up his facile pen again to describe these changes, a virtual revolution in the practice of investing that relies heavily on complex mathematics, derivatives, hedging, and hyperactive trading. This fine and eminently readable book is unlikely to be surpassed as the ... Read more

    $21.59 USD or Free with Kobo Plus

  • Investment Performance Measurement

    Evaluating and Presenting Results

    Series Book 2 - CFA Institute Investment Perspectives
    Investment Performance MeasurementOver the past two decades, the importance of measuring, presenting, and evaluating investment performance results has dramatically increased. With the growth of capital market data services, the development of quantitative analytical techniques, and the widespread acceptance of Global Investment Performance Standards (GIPS®), this discipline has emerged as a ... Read more

    $63.00 USD

  • Frequently Asked Questions in Corporate Finance

    The definitive question and answer guide to understanding corporate financeFrom the team behind the popular corporate finance website, Vernimmen.com comes a concise guide to the subject, presented in an easy-to-use, highly accessible "question and answer" format. An essential reference for students of corporate finance and practising corporate financiers alike, Frequently Asked Questions in ... Read more

    $29.00 USD

  • Financial Engineering

    The Evolution of a Profession

    Series Book 2 - Robert W. Kolb Series
    FINANCIAL ENGINEERINGFinancial engineering is poised for a great shift in the years ahead. Everyone from investors and borrowers to regulators and legislators will need to determine what works, what doesn't, and where to go from here. Financial Engineering-part of the Robert W. Kolb Series in Finance-has been designed to help you do just this. Comprised of contributed chapters by distinguished ... Read more

    $57.00 USD

  • The Fundamental Index

    A Better Way to Invest

    2008 American Publishers Awards for Professional and Scholarly Excellence (The PROSE Awards) Finalist/Honorable mention, Business, Finance & Management.The Fundamental Index examines a new approach to indexing that can overcome the structural return drag created by traditional capitalization-based indexing strategies, and in so doing, enhance the performance of your portfolio. Throughout this book ... Read more

    $18.00 USD

  • Financial Derivatives

    Pricing and Risk Management

    Edited by James A. Overdahl, Rob Quail ...
    Series Book 5 - Robert W. Kolb Series
    Essential insights on the various aspects of financial derivativesIf you want to understand derivatives without getting bogged down by the mathematics surrounding their pricing and valuation, Financial Derivatives is the book for you. Through in-depth insights gleaned from years of financial experience, Robert Kolb and James Overdahl clearly explain what derivatives are and how you can prudently ... Read more

    $57.00 USD

  • Risk Management

    Foundations For a Changing Financial World

    Series Book 4 - CFA Institute Investment Perspectives
    Key readings in risk management from CFA Institute, the preeminent organization representing financial analystsRisk management may have been the single most important topic in finance over the past two decades. To appreciate its complexity, one must understand the art as well as the science behind it. Risk Management: Foundations for a Changing Financial World provides investment professionals ... Read more

    $60.00 USD

  • Inefficient Markets

    An Introduction to Behavioural Finance

    Series series Clarendon Lectures in Economics
    The efficient markets hypothesis has been the central proposition in finance for nearly thirty years. It states that securities prices in financial markets must equal fundamental values, either because all investors are rational or because arbitrage eliminates pricing anomalies. This book describes an alternative approach to the study of financial markets: behavioral finance. This approach starts ... Read more

    $49.49 USD