Discover how to read market trends with clear charts and practical indicators, learn risk management basics, and apply proven entry and exit strategies for confident trading decisions.
Explore private equity dynamics through a detailed guide on fund structures, risk assessment, return drivers, and evolving regulatory frameworks, offering clear insights for investors and professionals alike.
A comprehensive guide to pricing, hedging, and trading Eurodollar futures and options, featuring detailed models, case studies, and practical strategies for managing interest‑rate risk in global markets.
Explore advanced calculus concepts with clear explanations of limits, continuity, and differentiability, plus practical applications in physics and economics, making complex ideas accessible to students and professionals alike.
Discover proven techniques for market entry and exit, risk management, and psychological discipline in this comprehensive guide that equips traders to consistently identify high‑probability setups and build a resilient trading strategy.
Explore advanced valuation models, yield curve dynamics, and risk metrics for bonds, derivatives, and structured products, while mastering portfolio construction techniques that balance return and stability.
(9780071837620 / 41196035) - Third Edition - McGraw-Hill - McGraw-Hill Education - Height: 235 mm - Spine width: 36 mm - Width: 169 mm - ISBN: 9780071837620 - Number of pages: 361 - Languages: English
(9780691191362) - Andrew W. Lo | Adaptive Markets, Investors and Markets, Financial theory, Financial regulation, Behavior and Markets, Theory of market