Bayesian Methods In Finance (Frank J. Fabozzi Series) [REPOST]

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Bayesian Methods In Finance (Frank J. Fabozzi Series) [REPOST]
Authors: Svetlozar T. Rachev, John S. J. Hsu, Biliana S. Bagasheva, Frank J. Fabozzi

Wiley | 2008 | ISBN: 0471920830 | PDF | 329 pages | 2.9 mb

Bayesian Methods in Finance provides a detailed overview of the theory of Bayesian methods and explains their real-world applications to financial modeling. While the principles and concepts explained throughout the book can be used in financial modeling and decision making in general, the authors focus on portfolio management and market risk management—since these are the areas in finance where Bayesian methods have had the greatest penetration to date.

Managing A Corporate Bond Portfolio (Frank J. Fabozzi Series)

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Leland E. Crabbe, Frank J. Fabozzi "Managing A Corporate Bond Portfolio (Frank J. Fabozzi Series)"
Wiley | 2002 | ISBN: 0471218278 | 336 pages | PDF | 3.5 mb

Praise for Managing A Corporate Bond Portfolio

"Crabbe and Fabozzi's Managing a Corporate Bond Portfolio is a refreshingly good book on the neglected topic in fixed income portfolio management. If you want to understand the latest thinking in corporate bonds, what drives prices and why, read this book. You will emerge with knowledge that will help you get an edge in the competitive investing arena."
—Tim Opler, Director, Financial Strategy Group, CSFB

Equity Asset Valuation Workbook

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Equity Asset Valuation Workbook (CFA Institute)
Authors: John D. Stowe, Thomas R. Robinson, Jerald E. Pinto, Dennis W. McLeavey

Wiley | 2008 | ISBN: 0470287659 | 104 pages | PDF | 0.7 mb

In the Equity Asset Valuation Workbook, the authors offer you a wealth of practical information and exercises that will further enhance your understanding of this discipline. This detailed study guide–which parallels Equity Asset Valuation chapter by chapter–contains concise summary overviews of the chapters, challenging problems, and a complete set of solutions.

Global Investment Performance Standards (GIPS)

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Global Investment Performance Standards (GIPS) [CFA Institute]
CFA Institute | 2005 | 58 pages | PDF | 0.7 mb

The GIPS standards are a set of standardized, industry-wide ethical principles that provide investment firms with guidance on how to calculate and report their investment results to prospective clients.

Managing Investment Portfolios: A Dynamic Process, 3rd Edition (CFA Institute)

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Managing Investment Portfolios: A Dynamic Process, 3rd Edition (CFA Institute)
Authors: John L. Maginn, Donald L. Tuttle, Dennis W. McLeavey, Jerald E. Pinto

Wiley | 2007 | ISBN: 0470080146 | 960 pages | PDF | 7.4 mb

As part of the CFA Institute Investment Series, the Third Edition of Managing Investment Portfolios has been designed for a wide range of individuals, from graduate-level students focused on finance to practicing investment professionals. This book, valuable for self-study as well as for general reference, provides complete coverage of the most important issues surrounding modern portfolio management.

Multi-Asset Class Investment Strategy

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Guy Fraser-Sampson "Multi-Asset Class Investment Strategy"
Wiley | 2006 | ISBN: 0470027991 | 320 pages | PDF | 0.7 mb

The book explains that instead of asset allocation being set in an isolated and arbitrary fashion, it is in fact the way in which specific hurdle investment returns can be targeted, and that this approach is already in use in the US (and has been for many years). It involves extended and detailed financial analysis of various asset class returns and proposes a five-asset class approach for future use.

Strategic Corporate Finance: Applications in Valuation & Capital Structure

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Justin Pettit, "Strategic Corporate Finance: Applications in Valuation & Capital Structure"
Wiley | ISBN: 0470052648 | 2007 | PDF | 304 pages | 1.3 mb

Essential guidance for the corporate finance professional — advisor, Board Director, CFO, Treasurer, business development executive, or M&A expert—to ask the right questions and make the critical decisions.

Handbook of Asset And Liability Management, Vol.2: Applications and Case Studies

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S.A. Zenios, W.T. Ziemba "Handbook of Asset And Liability Management, Vol.2: Applications and Case Studies"
North Holland | 2007 | ISBN: 0444528024 | 684 pages | PDF | 6.7 mb

The Handbooks in Finance are intended to be a definitive source for comprehensive and accessible information in the field of finance. Each individual volume in the series presents an accurate self-contained survey of a sub-field of finance, suitable for use by finance and economics professors and lecturers, professional researchers, graduate students and as a teaching supplement. It is fitting that the series Handbooks in Finance devotes a handbook to Asset and Liability Management.
Volume 2 focuses on applications and case studies in asset and liability management.

Robust Portfolio Optimization and Management (Frank J. Fabozzi Series)

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Robust Portfolio Optimization and Management (Frank J. Fabozzi Series)
Authors: Frank J. Fabozzi, Petter N. Kolm, Dessislava A. Pachamanova, Sergio M. Focardi

Wiley | ISBN: 047192122X | 2007 | PDF | 512 pages | 4.2 mb

Modern Investment Management: An Equilibrium Approach

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Bob Litterman (GSAM), "Modern Investment Management: An Equilibrium Approach"
Wiley | ISBN: 0471124108 | 2003 | PDF | 648 pages | 3.2 mb

Introduces the modern investment management techniques used by Goldman Sachs asset management to a broad range of institutional and sophisticated investors.

The Handbook of Commodity Investing (Frank J. Fabozzi Series)

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The Handbook of Commodity Investing (Frank J. Fabozzi Series)
Authors: Frank J. Fabozzi, Roland Fuss, Dieter G. Kaiser

Wiley | ISBN: 0470117644 | 2008 | PDF | 986 pages | 7.6 mb

This invaluable resource provides an overview of the basics and foundations of commodity investing, as well as recent theory and empirical evidence on the commodity markets.

Standards of Practice Handbook, 9th Edition (CFA Institute)

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Standards of Practice Handbook, 9th Edition (CFA Institute)
CFA Institute | ISBN: 1932495339 | 2005 | PDF | 185 pages | 0.5 mb

The CFA Institute Code of Ethics and Standards of Professional Conduct (Code and Standards) are fundamental to the values of CFA Institute values and essential to achieving its mission to lead the investment profession globally by setting high standards of education, integrity, and professional excellence.