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Against the Gods: The Remarkable Story of Risk
by Peter L. Bernstein
With the stock market breaking records almost daily, leaving longtime market analysts shaking their heads and revising their forecasts, a study of the concept of risk seems quite timely. Peter Bernstein has written a comprehensive history of man's efforts to understand risk and probability, beginning with early gamblers in ancient Greece, continuing through the 17th-century French mathematicians Pascal and Fermat and up to modern chaos theory. Along the way he demonstrates that understanding risk underlies everything from game theory to bridge-building to winemaking. Amazon.com
Paperback: 400 pages
John Wiley & Sons; ISBN: 0471295639; 1 edition (August 31, 1998)
 
Advanced modelling in finance using Excel and VBA
by Mary Jackson, Mike Staunton
(Hardcover -- May 30, 2001)

Analysis for Financial Management
by Robert C. Higgins
(Paperback -- June 6, 2000)
 
Balanced Scorecard Step-by-Step: Maximizing Performance and Maintaining Results
by Paul R. Niven, Robert S. Kaplan (Foreword)
(Hardcover -- March 15, 2002)

Corporate Finance
Corporate Finance
by Stephen A. Ross, Randolph W. Westerfield, Jeffrey Jaffe
Hardcover from McGraw Hill College Div
Book Published: February, 2002
 
Cost & Effect : Using Integrated Cost Systems to Drive Profitability and Performance
by Robert S. Kaplan, Robin Cooper
Hardcover: 357 pages
Harvard Business School Pr; ISBN: 0875847889; (November 1997)

The Four Pillars of Investing: Lessons for Building a Winning Portfolio
by William J. Bernstein
Hardcover: 240 pages
McGraw-Hill Trade; ISBN: 0071385290; 1st edition (April 26, 2002)
 
The Handbook of Fixed Income Securities, 6th Edition
The Handbook of Fixed Income Securities, 6th Edition
by Frank J. Fabozzi
Hardcover from McGraw-Hill Trade
Book Published: 24 August, 2000
 
Fooled by Randomness: The Hidden Role of Chance in the Markets and in Life
by Nassim Nicholas Taleb
(Hardcover -- October 2001)

The Millionaire Next Door: The Surprising Secrets of America's Wealthy
by Thomas J. Phd Stanley, William D., Phd Danko
(Mass Market Paperback -- November 28, 2000)

Dictionary of Finance and Investment Terms (Barron's Financial Guides)
by John Downes (Preface), et al
(Paperback -- November 1998)
 
Economics of Money, Banking, and Financial Markets plus MyEconLab Student Access Kit , The, Seventh Edition
Economics of Money, Banking, and Financial Markets plus MyEconLab Student Access Kit , The, Seventh Edition
by Frederic S. Mishkin
Hardcover from Pearson Addison Wesley
Book Published: 11 July, 2003
 
EVA and Value-Based Management: A Practical Guide to Implementation
by S. David Young, Stephen F. O'Byrne
(Hardcover -- November 22, 2000)

How to Read A Financial Report
by John A. Tracy (Preface)
(Paperback -- February 22, 1999)

Investing : The Last Liberal Art
by Robert G., Jr. Hagstrom
(Paperback -- April 2002)

Financial Statements : A Step-By-Step Guide to Understanding and Creating Financial Reports
by Thomas R. Ittelson, Thomas R. Ittleson
(Paperback -- February 1998)

Financial Modeling - 2nd Edition
by Simon Benninga, Benjamin Czaczkes
(Hardcover -- September 18, 2000)
 
Financial Modeling Using Excel and VBA
Financial Modeling Using Excel and VBA
by Chandan Sengupta
Paperback from John Wiley & Sons
Book Published: 20 February, 2004
 
Financial Management: Theory and Practice with Student CD-ROM
by Eugene F. Brigham, Michael C. Ehrhardt
(Hardcover -- August 3, 2001)

Guerrilla Marketing: Secrets for Making Big Profits from Your Small Business
by Jay Conrad Levinson
(Paperback -- October 21, 1998)

The House of Morgan : An American Banking Dynasty and the Rise of Modern Finance
by Ron Chernow
Listed under Banking
 
Investment Analysis and Portfolio Management
Investment Analysis and Portfolio Management
by Frank K. Reilly, Keith C. Brown
Textbook Binding from South-Western College Pub
Book Published: 18 October, 2002
 
The McGraw-Hill 36-Hour Course in Finance for Nonfinancial Managers
by Robert A. Cooke
(Paperback -- January 1, 1993)
 
Options, Futures, and Other Derivatives (5th Edition)
Options, Futures, and Other Derivatives (5th Edition)
by John C. Hull
Hardcover from Prentice Hall
Book Published: 03 July, 2002
 
Raving Fans: A Revolutionary Approach to Customer Service
by Kenneth H. Blanchard, et al
Listed under Marketing

Rich Dad's Guide to Investing: What the Rich Invest in, That the Poor and the Middle Class Do Not!
by Robert T. Kiyosaki, Sharon L. Lechter (Contributor)
Listed under Rich Dad's Guides
 
Technical Analysis of the Financial Markets: A Comprehensive Guide to Trading Methods and Applications
Technical Analysis of the Financial Markets: A Comprehensive Guide to Trading Methods and Applications
by John J. Murphy
Hardcover from Prentice Hall Press
Book Published: 04 January, 1999
 
Trade Like a Hedge Fund : 20 Successful Uncorrelated Strategies  Techniques to Winning Profits
Trade Like a Hedge Fund : 20 Successful Uncorrelated Strategies & Techniques to Winning Profits 
by James Altucher
Book Description: Learn the successful strategies behind hedge fund investing.

Hedge funds and hedge fund trading strategies have long been popular in the financial community because of their flexibility, aggressiveness, and creativity. Trade Like a Hedge Fund capitalizes on this phenomenon and builds on it by bringing fresh and practical ideas to the trading table. This book shares 20 uncorrelated trading strategies and techniques that will enable readers to trade and invest like never before. With detailed examples and up-to-the-minute trading advice, Trade Like a Hedge Fund is a unique book that will help readers increase the value of their portfolios, while decreasing risk. 

James Altucher (New York, NY) is a partner at Subway Capital, a hedge fund focused on special arbitrage situations, and short-term statistically based strategies. Previously, he was a partner with technology venture capital firm 212 Ventures and was CEO and founder of Vaultus, a wireless and software company. 
Hardcover from John Wiley & Sons
Book Published: 20 February, 2004

 
Valuation: Measuring and Managing the Value of Companies, 3rd Edition
by McKinsey & Company Inc., et al
Hardcover: 592 pages
John Wiley & Sons; ISBN: 0471361909; 3 edition (July 28, 2000)

The Value Imperative: Managing for Superior Shareholder Returns
by James M. McTaggart, et al
(Hardcover -- April 1994)

When Genius Failed : The Rise and Fall of Long-Term Capital Management
by Roger Lowenstein
(Paperback -- October 9, 2001)
 
 
 
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