Ebooks mostly English and Pdf

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  • stockbroker
    Master
    • 28 Temmuz 2008
    • 4807

    #1276
    Broken Markets: A User's Guide to the Post-Finance Economy [Repost]
    Posted By : ChrisRedfield | Date : 01 Dec 2012 16:18:31 | Comments : 0 |



    Kevin Mellyn - Broken Markets: A User's Guide to the Post-Finance Economy
    Published: 2012-06-20 | ISBN: 1430242213 | PDF | 188 pages | 3 MB


    Broken Markets allows the intelligent non-specialist to understand and navigate the ongoing worldwide aftermath of the 2008 financial market meltdown. The key theme of the book is how the leading financial institutions and the political leadership of the U.S. and European Union have failed us and set the stage for continued market turmoil. It explains what this means for investors, borrowers, society in general, and the financial-services industry. Former banker Kevin Mellyn focuses on providing readers with clear and simple explanations of the forces at work and the potential consequences for their future prosperity.
    As this book makes clear, what’s coming is a world in which high structural unemployment and flat or declining real income is likely—not to mention a diminished retirement financial safety net. The book therefore provides actionable information for protecting wealth and making prudent investment decisions in an economy that is nothing like the one that has sustained us for decades.
    As a forward-looking narrative about rapidly changing events and volatile markets and politics, Broken Markets will provide no single prediction about the future but rather describe alternative scenarios and provide the reader with signposts to watch out for in deciding which reality is actually unfolding. Unlike most books written by journalists on global finance, the scenarios and signposts described will be largely based on the lessons of financial and political history rather than breaking news. This book:
    Tells you in plain language how today’s financial system threatens your livelihood and wealth
    Tells you why and how governments worldwide, with some notable exceptions, are taking actions likely to make things worse instead of better
    Explains how the leading financial institutions lost their way during the bubble years and how they can find the path back to prosperity and value to society
    Tells you what life will be like in a “post-finance” economy and how you can protect your wealth

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    • stockbroker
      Master
      • 28 Temmuz 2008
      • 4807

      #1277
      Survey of Accounting, 5th Edition (repost)
      Posted By : interes | Date : 04 Dec 2012 21:35:13 | Comments : 0 |



      Carl S. Warren, "Survey of Accounting, 5th Edition"
      English | 2010 | ISBN : 0538749091 | 721 pages | PDF | 21,4 MB

      Survey of Accounting (5th Edition) provides an overview of the basic topics for financial and managerial accounting, without emphasizing the use of debits and credits. Written for students who have no prior knowledge of accounting, this text emphasizes how accounting reports are used by managers, investors, and other business stakeholders.


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      • stockbroker
        Master
        • 28 Temmuz 2008
        • 4807

        #1278
        Encyclopedia of Business & Finance, 2 edition (2 Vol. Set) (repost)
        Posted By : libr | Date : 09 Dec 2012 10:14:32 | Comments : 0 |




        Burton S. Kaliski, "Encyclopedia of Business & Finance, 2 edition (2 Vol. Set)"
        2006 | ISBN: 0028660617 | 814 pages | PDF | 11 MB

        This encyclopedia is designed to "summarize the body of knowledge that we know as business in one place and in language appropriate to the layperson." The 315 articles cover the major functional areas of business: accounting, economics, finance, information systems, law, management, and marketing. Special emphasis is given to the topics of careers and business ethics. While some articles emphasize the historical development of a topic, others focus on current business activity and conditions. The second edition contains more than 30 new articles, most of them related to technology, new areas of business knowledge, international topics, and new organizations and legislation.

        Entries are arranged alphabetically and tend to be 500 to 1,500 words in length. A small number of black-and-white photos, charts, and graphs is included. Each entry is accompanied by a 5- to 10-item bibliography of books and, occasionally, Web sites. A few see and see also references are provided. All the articles are signed, and most of the authors are associated with universities. However, some of the names in the contributors list are unaccompanied by any credentials or organizational affiliation.

        The entries range widely in scope and cover topics such as Behavioral science movement, Discount stores, Electronic commerce, Information processing, Money supply, Public relations, and Taxation. The Behavioral science movement article is a good example of what this source has to offer. It begins by providing some context, then traces the development of the movement from Frederick Winslow Taylor (1856-1915), to the Hawthorne studies of the early twentieth century, to the more recent work of Abraham Maslow, Douglas McGregor, and others.

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        • stockbroker
          Master
          • 28 Temmuz 2008
          • 4807

          #1279
          Credit Repair, 10 edition (Repost)
          Posted By : melia | Date : 30 Dec 2012 12:30:01 | Comments : 0



          Robin Leonard J.D., Margaret Reiter Attorney, "Credit Repair, 10 edition"
          English | 2011 | ISBN: 1413314201 | 456 pages | PDF | 6.7 MB


          Credit problems? Get the acclaimed plain-English guide to fixing your credit report!
          Nearly 80 percent of credit reports contain errors. In a tough economy when credit is tight, you need to be certain that your financial records are correct and up-to-date. A less-than-flattering report can hurt your chances of qualifying for credit card, loans, renting an apartment or even finding a job.
          But a bad credit report can almost always be improved or corrected. Credit Repair shows you how to fix your credit situation quickly and easily, explaining the necessary steps in plain English. Learn how to:

          avoid overspending
          establish a realistic budget
          get out of debt now
          build a financial cushion
          read and understand your credit report
          get mistakes on your credit report fixed
          protect your social security number
          avoid credit discrimination
          get positive information added to your credit report
          negotiate with creditorsCredit Repair includes dozens of forms and letters on CD-ROM that will help you spruce up your credit report as easily as possible!The 10th edition has been completely updated to reflect the latest changes in the law.

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          • stockbroker
            Master
            • 28 Temmuz 2008
            • 4807

            #1280
            Venture Capital Investing: The Complete Handbook for Investing in Private Businesses for Outstanding Profits (Repost)
            Posted By : Specialselection | Date : 06 Jan 2013 10:35:17 | Comments : 0



            David Gladstone, Laura Gladstone, "Venture Capital Investing: The Complete Handbook for Investing in Private Businesses for Outstanding Profits"
            English | 2003-08-23 | ISBN: 013101885X | 529 pages | PDF | 4.7 mb

            In his classic bestseller Venture Capital Handbook, leading venture capitalist David Gladstone showed thousands of companies how to get funding and work with early stage investors. Now, in his revision of the classic, Venture Capital Investing, he looks at venture capital through the eyes of the investor. Gladstone shows all of you VC investors and angels exactly how to weed through scores of business proposals and find the gem that will deliver outstanding returns, especially in these soft economic times. You will learn what to look for in a business proposition; how to assess entrepreneurs and their management teams; how to evaluate financial statements, market niches, competitive environments, and product innovations; how to investigate a business that's already operating; and how to build effective partnerships with existing portfolio companies.

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            • stockbroker
              Master
              • 28 Temmuz 2008
              • 4807

              #1281
              Quantitative Risk Management
              Posted By : enmoys | Date : 13 Mar 2013 12:10:46 | Comments : 0 |




              Quantitative Risk Management By Thomas S. Coleman, Bob Litterman
              2012 | 558 Pages | ISBN: 1118026586 | EPUB | 5 MB



              State of the art risk management techniques and practices—supplemented with interactive analytics.All too often risk management books focus on risk measurement details without taking a broader view. Quantitative Risk Management delivers a synthesis of common sense management together with the cutting-edge tools of modern theory. This book presents a road map for tactical and strategic decision making designed to control risk and capitalize on opportunities. Most provocatively it challenges the conventional wisdom that "risk management" is or ever should be delegated to a separate department. Good managers have always known that managing risk is central to a financial firm and must be the responsibility of anyone who contributes to the profit of the firm.

              A guide to risk management for financial firms and managers in the post-crisis world, Quantitative Risk Management updates the techniques and tools used to measure and monitor risk. These are often mathematical and specialized, but the ideas are simple. The book starts with how we think about risk and uncertainty, then turns to a practical explanation of how risk is measured in today's complex financial markets.

              Covers everything from risk measures, probability, and regulatory issues to portfolio risk analytics and reporting.

              Includes interactive graphs and computer code for portfolio risk and analytics.

              Explains why tactical and strategic decisions must be made at every level of the firm and portfolio.

              Providing the models, tools, and techniques firms need to build the best risk management practices, Quantitative Risk Management is an essential volume from an experienced manager and quantitative analyst.


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