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Finance Books

You are currently browsing 471–480 of 662 new and published books in the subject of Finance — sorted by publish date from newer books to older books.

For books that are not yet published; please browse forthcoming books.

New and Published Books – Page 48

  1. Personal Finance and Investments

    A Behavioural Finance Perspective

    By Keith Redhead

    In this book, the author draws from finance, psychology, economics, and other disciplines in business and the social sciences, recognising that personal finance and investments are subjects of study in their own right rather than merely branches of another discipline. Considerable attention is...

    Published September 15th 2008 by Routledge

  2. International Handbook of Public Procurement

    Edited by Khi V. Thai

    Series: Public Administration and Public Policy

    Since the 1990s, government at all levels is under increasing pressure to do more with less. However, despite the U.S. government spending about 15 to 20 percent of its GDP on contracts for goods and services, there is a paucity of reference books for public procurement officials and very few...

    Published August 28th 2008 by Auerbach Publications

  3. Insider Trading

    Global Developments and Analysis

    Edited by Paul U. Ali, Greg N. Gregoriou

    Essential Reading on an Expanding Phenomenon The recent growth in mergers and acquisitions worldwide has been accompanied by a resurgence in insider trading on a scale not witnessed since the 1980s takeovers boom. Given the greater emphasis on insider trading in the global securities markets, this...

    Published August 22nd 2008 by CRC Press

  4. State and Local Pension Fund Management

    By Jun Peng

    Series: Public Administration and Public Policy

    Intense media coverage of the public pension funding crisis continues to fuel heightened awareness in and debate over public pension benefits. With over $3 trillion in assets currently under management, the ramifications of poor oversight are severe. It is important that practitioners, researchers,...

    Published August 21st 2008 by Auerbach Publications

  5. Encyclopedia of Alternative Investments

    Edited by Greg N. Gregoriou

    A pioneering reference essential in any financial library, the Encyclopedia of Alternative Investments is the most authoritative source on alternative investments for students, researchers, and practitioners in this area. Containing 545 entries, the encyclopedia focuses on hedge funds, managed...

    Published August 18th 2008 by Chapman and Hall/CRC

  6. Understanding Government Budgets

    A Practical Guide

    By R. Mark Musell

    Budgets in the United States follow rules of presentation and use terms that make sense to few outside the world of government finance. Moreover, practices vary widely among the thousands of governments in the country, between federal, state, and local levels. Understanding Government Budgets...

    Published August 13th 2008 by Routledge

  7. Fiscal Decentralization and Local Public Finance in Japan

    By Nobuki Mochida

    Series: Routledge Frontiers of Political Economy

    The intergovernmental fiscal issue is highly relevant given the worldwide movement toward more decentralized governance in both industrial and developing countries. Over the course of five decades Japan has developed a robust system of decentralized governance. This book investigates...

    Published June 26th 2008 by Routledge

  8. Handbook of Frauds, Scams, and Swindles

    Failures of Ethics in Leadership

    Edited by Serge Matulich, David M. Currie

    It has been said that scammers and swindlers often display characteristics commonly attributed to good leadership. These include setting a vision, communicating it clearly, and motivating others to follow their lead. But when these skills are used by unconscionable people to satisfy greed, how can...

    Published June 24th 2008 by CRC Press

  9. Credit Risk

    Models, Derivatives, and Management

    Edited by Niklas Wagner

    Series: Chapman and Hall/CRC Financial Mathematics Series

    Featuring contributions from leading international academics and practitioners, Credit Risk: Models, Derivatives, and Management illustrates how a risk management system can be implemented through an understanding of portfolio credit risks, a set of suitable models, and the derivation of reliable...

    Published May 28th 2008 by Chapman and Hall/CRC

  10. International Financial Reporting Standards vol 1

    Edited by David Alexander

    First published in 2008. Routledge is an imprint of Taylor & Francis, an informa company....

    Published May 20th 2008 by Routledge