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"Business models"
Showing 51-91 of 91 items.

Hans Hannula – Your Electric Life moneytide

Hans Hannula - Your Electric Life moneytideI have developed two bodies of knowledge-Market AstroPhysics and Market Chaos Theory. These technologies provide a theoretical framework for market behavior, which is then used to develop mathematical models for...


Hans Hannula – Cash In On Chaos 360 Moneytide

Hans Hannula - Cash In On Chaos 360 MoneytideI have developed two bodies of knowledge-Market AstroPhysics and Market Chaos Theory. These technologies provide a theoretical framework for market behavior, which is then used to develop mathematical...


Earik Beann – Wave59 PowerUser Conference 2011

Earik Beann – Wave59 PowerUser Conference 2011 Earik Beann and some of Wave59’s most accomplished & prolific PowerUsers present all-new trading methods, tools & techniques designed to maximize your Wave59 trading experience. There is perhaps no...


Larry Connor – TradingMarkets Swing Trading College 2019

Larry Connor – TradingMarkets Swing Trading College 2019 Do you lack control over your trades, not sure where to enter or exit? Are your trades lacking discipline? Put a Stop to Bad Trading Habits & Get...


Machine Trading – Deploying Computer Algorithms To Conquer The Markets

Machine Trading - Deploying Computer Algorithms to Conquer the MarketsDive into algo trading with step-by-step tutorials and expert insightMachine Trading is a practical guide to building your algorithmic trading business. Written by a recognized trader with...


Joel Hasbrouck – Empirical Market Microstructure

Joel Hasbrouck - Empirical Market MicrostructureThe book discusses the mechanisms by which securities are traded, as well as examining economic models of asymmetric information, inventory control, and cost-minimizing trading strategies.Review "Joel Hasbrouck provides the first integrated...


Jae K.Shim – Encyclopedic Dictionary Of International Finance & Banking

Jae k.Shim - Encyclopedic Dictionary of International Finance & BankingThe Encyclopedic Dictionary of International Finance and Banking is a practical reference of proven techniques, strategies, and approaches. It covers virtually all important topics dealing with multinational...


Paul Wilmott – FAQ In Quantitative Finance

Paul Wilmott - FAQ in Quantitative FinancePaul Wilmott, London UK is a researcher, consultant and lecturer in quantitative finance. He is founder of Wilmott Associates, a financial consultancy and training firm, from which he publishes Wilmott...


Richard Bookstaber – A Demon Of Our Own Design

Description Inside markets, innovation, and risk Why do markets keep crashing and why are financial crises greater than ever before? As the risk manager to some of the leading firms on Wall Street–from Morgan Stanley to...


James R.Hitchner – Financial Valuation Workbook

James R.Hitchner - Financial Valuation WorkbookJAMES R. HITCHNER, CPA/ABV/CFF, ASA, is Managing Director of Financial Valuation Advisors, President of The Financial Consulting Group and CEO of Valuation Products & Services. He has over thirty-one years of...


Mark J.P.Anson & Frank J.Fabozzi – Credit Derivates Instruments Applications & Pricing

Mark J.P.Anson, Frank J.Fabozzi - Credit Derivates Instruments Applications & PricingDescriptionAn essential guide to credit derivatives Credit derivatives has become one of the fastest-growing areas of interest in global derivatives and risk management. Credit Derivatives takes...


Michael J. Mard – Valuation For Financial Reporting (2nd Ed.)

Michael J.Mard - Valuation for Financial Reporting (2nd Ed.)Essential procedures for the measurement and reporting of fair value in Financial statementsTrusted specialists Michael Mard, James Hitchner, and Steven Hyden present reliable and thorough guidelines, case studies,...


Christopher Baum – An Introduction To Modern Econometrics Using Stata

Author:Christopher F. BaumPublisher:Stata PressCopyright:2006ISBN-13:978-1-59718-013-9Comment from the Stata technical groupAn Introduction to Modern Econometrics Using Stata, by Christopher F. Baum, successfully bridges the gap between learning econometrics and learning how to use Stata. The book presents a...


ITPM – London Super Conference 2017 Collection

London Super Conference 2017 Collection ITPM 14. Anton Kreil – Dividends, Distributions and Trading for Income Video length: 49 Minutes In this Video, Anton Kreil, Managing Partner of the Institute of Trading and Portfolio Management, debunks...


Brian R.Brown – Chasing The Same Signals

Product DescriptionConventional wisdom suggests that markets are efficient, random walks and that stock prices rise and fall with the fundamentals of the company. How then have black-box traders prospered and how do they exploit market inefficiencies?...


Simon Benninga – Financial Modeling (2nd Ed.)

Simon Benninga - Financial Modeling (2nd Ed.) Too often, finance courses stop short of making a connection between textbook finance and the problems of real-world business. Financial Modeling bridges this gap between theory and practice by providing a...


William O’Neil – How To Make Money In Stocks (A Winning System In Good Times Or Bad)

William O’Neil – How to Make Money in Stocks (A Winning System In Good Times Or Bad) THE BUSINESSWEEK, USA TODAY, AND WALL STREET JOURNAL BUSINESS BESTSELLER! The bestselling guide to buying stocks, from the founder...


Dr. Christopher Cathey & Christopher Quill – How To Optimally Trade A Rights Issue (with Excel TERP Calculation)

Dr. Christopher Cathey & Christopher Quill – How to Optimally Trade a Rights Issue (with Excel TERP Calculation) Video length: 18 Minutes Rights Issues are an extremely common way in which companies in the Equities Markets...


Edward I.Altman – Corporate Financial Distress & Bankruptcy

Edward I.Altman - Corporate Financial Distress & BankruptcyA comprehensive look at the enormous growth and evolution of distressed debt, corporate bankruptcy, and credit risk defaultThis Third Edition of the most authoritative finance book on the topic...


Brian Johnson – Option Strategy Risk Return Ratio

Brian Johnson – Option Strategy Risk Return Ratio Written by Brian Johnson, a professional investment manager with many years of trading and teaching experience, Option Strategy Risk/Return Ratios introduces a revolutionary new framework for evaluating, comparing,...


John Geweke – Contemporary Bayesian Econometrics And Statistics

John Geweke - Contemporary Bayesian Econometrics and StatisticsTools to improve decision making in an imperfect worldThis publication provides readers with a thorough understanding of Bayesian analysis that is grounded in the theory of inference and optimal...


Olivia Parr Rud – Data Mining Cookbook

Olivia Parr Rud - Data Mining Cookbook Description Increase profits and reduce costs by utilizing this collection of models of the most commonly asked data mining questions In order to find new ways to improve customer...


Murray E.Jennex – Knowledge Management

Murray E.Jennex - Knowledge ManagementKnowledge management (KM) is an emerging, interdisciplinary business model dealing with all aspects of knowledge within the context of the firm, including knowledge creation, codification, and sharing, and using these activities to...


David I.Cleland – Project Management (4th Ed.)

David I.Cleland - Project Management (4th Ed.)This is the first book to truly apply the theory, processes, practices, and techniques of project management to strategic planning. New to this edition are: risk management, earned value, project...


Guy Cohen – Options Made Easy. Your Guide To Profitable Trading (2nd Ed.)

Guy Cohen - Options Made Easy. Your Guide to Profitable Trading (2nd Ed.) Size 31.9 MB In Options Made Easy, Second Edition, Guy Cohen clearly explains everything you need to know about options in plain English so...


NeuroXL – NeuroXL Predictor 2.0

NeuroXL Predictor 2.0 The Value of Neural Network Forecasting and Estimation Estimating and forecasting future conditions govern many critical business activities, such as inventory control, procurement of supplies, labor cost estimation, and prediction of product demand....


Investopedia Academy – Trading Courses Bundle

Investopedia Academy - Trading Courses Bundle TRADING COURSES BUNDLE Bundle Description Online, on-demand courses and tools to give you a complete foundation in trading. This bundle includes: Three courses, each addressing a different trading skill set:...


Greg N.Gregoriou – The Handbook Of Trading

Greg N Gregoriou - The Handbook of TradingMake the post-meltdown markets work for you, using the unparalleled insight of today’s top global investing experts!“This book provides a collection of papers that examine trading execution, technical trading,...


Robert Jarrow – Derivate Securities (The Complete Investors Guide)

Robert Jarrow - Derivate Securities (The Complete Investors Guide)Skilled investors know that to play in today's high-risk global-investment environment, they must maximize return while hedging risk. To do this successfully, investors must understand the intricacies and...


Mike McMahon – Opting for Options Trading

Mike McMahon - Opting for Options TradingWhat is a Stock Option?A stock option gives an investor the right, but not the obligation, to buy or sell a stock at an agreed upon price and date. There are...


Matthew Tagliani – The Practical Guide to Wall Street

The Practical Guide to Wall Street is an indispensable resource for anyone who aspires to a front-office sales or trading position on Wall Street and an essential desk reference for market practitioners and those who interact with...


Ralf Welborn & Vince Kasten – The Jericho Principle How Companies Use Strategic Collaboration to Find New Sources of Value

Understanding the opportunities and dangers of innovation through inter-company collaboration The Jericho Principle identifies key trends and patterns in the increasing use of collaboration by corporations and creates a strategic and operational framework for answering key...


John Daly – Pricing for Profitability Activity-Based Pricing for Competitive Advantage

Three things can happen when establishing a product price. A price set too high is a lost sale that could have been profitable at a lower price. A price set too low is rewarded with unprofitable...


Thomas Schneeweis – The New Science of Asset Allocation

A feasible asset allocation framework for the post 2008 financial world Asset allocation has long been a cornerstone of prudent investment management; however, traditional allocation plans failed investors miserably in 2008. Asset allocation still remains an...


Moorad Choudhry – The Bond & Money Markets

Moorad Choudhry – The Bond & Money Markets This book is virtually a stand alone reference book on interest rate swaps, the money markets, financial market mathematics, interest-rate futures and technical analysisIncludes some introductory coverage of...


Alexander Melnikov – Risk Analysis in Finance & Insurance

Review… a useful addition to a rapidly expanding field. – Journal of the Royal Statistical SocietyHere is a comprehensive and accessible introduction to the ideas, methods and probabilistic models that have transformed risk management into a...


Robert Elliott – Mathematics of Financial Markets

This book presents the mathematics that underpins pricing models for derivative securities in modern financial markets, such as options, futures and swaps. This new edition adds substantial material from current areas of active research, such as...


John C. Hull – Options, Futures, and Other Derivative Securities

John C. Hull – Options, Futures, and Other Derivative Securities For undergraduate and graduate courses in Options and Futures, Financial Engineering, and Risk Management, typically found in business, finance, economics and mathematics departments. This fifth edition...


Robert Kast – Economics and Finance of Risk and of the Future

This book uses real-world examples to show how individual and collective risks can be blended and treated in a reliable decision-making framework that draws its inspiration from decision theory and market based mechanisms. It then goes...


WallStreet Prep Mis. – WallStreet Prep Mis. Courses

The Complete Step-By-Step Financial & Valuation Modeling ProgramComplete Modeling Package. Everything you need to master financial modeling: Learn DCF, Comps, M&A, LBO and Financial Statement Modeling in this all-in-one collection of modeling courses.Everything you need to...


Frank J.Fabozzi – The Handbook Of Fixed Income Securities (7th Ed.)

Frank J.Fabozzi – The Handbook Of Fixed Income Securities (7th Ed.) The Handbook of Fixed Income Securities occupies the top spot as the most authoritative, widely read reference in the global fixed income marketplace. First published in...

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