The authoritative guide M&A professionals have relied on for 35 years-with critical new insights and approaches based on lessons learned from major events and trends of the 2020s For senior executives, bankers, attorneys, accountants, and others, The Art of M&A is the go-to resource for anyone conducting or advising on M&A transactions.
This book critically examines the driving forces, discourses, and conflicts surrounding Chinese investments in overseas farmland, with a specific focus on Australia.
This publication explores how extreme heat is emerging as a growing risk factor and planning consideration across the United States, and how the real estate industry is responding with design approaches, technologies and new policies to mitigate the impacts and help protect human health.
A landmark book on quantitative methods in financial markets for graduate students and finance professionalsRecent decades have seen an extraordinary growth in the use of quantitative methods in financial markets.
Three top Wall Street analysts reveal enduring lessons in sustainable success from the great industrial titans-the high-tech companies of their day-to the disruptors that now dominate the economy.
Master the process of effectively marketing alternative investments-a critical but overlooked aspect of ensuring fund successInvestment funds with great performance and potential often fail for one simple reason the enormous challenge for investor relations and fundraising professionals to raise the necessary capital to make the fund profitable.
The definitive guide to long-term investing success-fully updated to address the realities of today's marketsTechnology, information overload, and increasing market dominance by expert investors and computers make it harder than ever to produce investing results that overcome operating costs and fees.
The definitive guide to reduced-risk investing in the $600+ billion global convertible securities marketAuthored by professionals at Advent Capital Management-one of the world s leaders on convertible securities-Convertible Securities describes the mechanics and behavior of convertible securities in comprehensive yet easy-to-understand language.
The definitive guide to fixed income securities-updated and revised with everything you need to succeed in today's marketThe Handbook of Fixed Income Securities has been the most trusted resource for fixed income investing for decades, providing everything sophisticated investors need to analyze, value, and manage fixed income instruments and their derivatives.
This book highlights the intersection between international investment law and sustainable development, particularly in the context of the right to regulate for public interest related to sustainable development.
Updated for 2016-a new revised edition of the classic guide that shows you how to pay less to the IRSEasy to read, easy to use, and hard to beat, this comprehensive tax-saving guide has become the go-to resource for tax professionals and home filers alike.
The first book of its kind, Investing with Intelligent ETFs scrutinizes one of the most innovative and popular investment securities on the financial market today.
The next economic storm and how to prepare for it--from a top decision-maker at BlackRockAn economic calamity is already looming on the horizon, and it's going hit the U.
Unearth a Gold Mine in the $1 TRILLION Junk Bond Market Few experts in this area have been willing to share their inside knowledge with the outside world.
LEVERAGE YOUR MOST POWERFUL TRADING ASSET: YOUR PERSONALITYThe Mental Edge in Trading explains the critical link between successful trading and personality traits--and it gives you the tools to use this information to make smarter trades.
The next leap in the evolution of ETF investing: a two-pronged strategy for succeeding in both bull and bear marketsETF expert Stephen McKee introduces his Comet System a proven system for selecting and timing the market to take full advantage of mutual funds and ETFs.
Behavioral finance expert and bestselling author Robert Koppel shows traders and investors how to invest your money rationally, even in an irrational world"e;Investing,"e; according to Robert Koppel, "e;Involves far more than specific analytical and strategic skills.
Derivatives Algorithms - Volume 1: Bones (Second Edition) is for practicing quants who already have some expertise in risk-neutral pricing and in programming, and want to build a reusable and extensible library.
There is a large literature dealing with the spillover effects of foreign direct investment (FDI) flows to emerging and developing economies at the aggregate level.
Singapore's Real Estate: 50 Years of Transformation documents the transformation and development of the real estate market in Singapore over the past 50 years.
This book analyzes in depth all major derivatives debacles of the last half century including the multi-billion losses and/or bankruptcy of Metallgesellschaft (1994), Barings Bank (1995), Long Term Capital Management (1998), Amaranth (2006), Societe Generale (2008) , AIG (2008) and JP Morgan-Chase (2012).
This book is the first among many books in supply chain management, which provides the readers with insights on how to select the best global supply chain out of inter-firm network, fables system or market firms.
RMB: Towards Internationalization takes an in-depth look at the exchange rate regime of China's currency, the RMB, including the arrangements, related policies and management, and corresponding policy recommendations.
Scholars and practitioners have known for a long time that risk plays an important, indeed central, role in determining the appropriate discount rate to be used in a sophisticated valuation model.
Contingent Convertibles (CoCos) represent debt that is subject to being converted automatically into common equity under pre-specified terms of conversion if the chosen regulatory capital ratio falls to a level triggering conversion.
New Edition: Market Microstructure in Practice (2nd Edition)Market Microstructure in Practice comments on the consequences of Reg NMS and MiFID on market microstructure.
Over the last two decades, risk-sensitive control has evolved into an innovative and successful framework for solving dynamically a wide range of practical investment management problems.
This book provides the first systematic classification and treatment to essentially all exotic options currently trading at the Over-the-Counter (OTC) market.
This is the first systematic source which tries to explain how and why the 233-year old and the World's oldest merchant bank went into bankruptcy in a few days.
This book consists of two essays on new approaches for the Arbitrage Pricing Theory and the Present Value Model, and one essay on cross-sectional correlations in panel data.