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Forthcoming Investment & Securities Books

You are currently browsing 11–20 of 21 forthcoming new books in the subject of Investment & Securities — sorted by publish date from upcoming books to future books.

For books that are already published; please browse available books.

Forthcoming Books – Page 2

  1. International Banking for a New Century

    By Irene Finel-Honigman, Fernando Sotelino

    This new textbook provides an up-to-date overview of international banking as the second decade of the twenty-first century unfolds. Integrating geo-economic, operational, institutional and regulatory changes in the financial sector, the volume’s methodology incorporates specific case studies and...

    To Be Published June 28th 2015 by Routledge

  2. A Theory of Speculative Bubbles and Crashes

    A study on phase transitions in financial markets with networked agents

    By Taisei Kaizoji

    Series: Routledge Advances in Experimental and Computable Economics

    To Be Published June 30th 2015 by Routledge

  3. Derivatives Markets

    By David H. Goldenberg

    Derivatives Markets is a thorough and well-presented textbook that offers readers an introduction to derivatives instruments, with a gentle introduction to mathematical finance, and provides a working knowledge of derivatives to a wide area of market participants. This new and accessible book...

    To Be Published July 9th 2015 by Routledge

  4. Consumer Economics

    Issues and Behaviors

    By Elizabeth Goldsmith

    To Be Published October 31st 2015 by Routledge

  5. Finance: The Basics

    3rd Edition

    By Erik Banks

    Series: The Basics

    To Be Published November 30th 2015 by Routledge

  6. The Dynamic Development of Global Asset Management Industry

    By Yong Cao

    Series: Routledge International Studies in Money and Banking

    As an integral part of the world financial market, the global asset management industry has played a significant role in almost every critical event and change in the world financial market over the past four decades. Its growth has been facilitated from the financial innovations in...

    To Be Published December 29th 2015 by Routledge

  7. Introduction to Financial Communication

    How companies communicate with investors

    Edited by Gregor Halff, Wei Joo Ng

    Financial Communication is the fastest growing discipline within the corporate communication function, particularly in the resilient markets and financial hubs of Asia. The need for talent and for a professional body of knowledge is high. Very frequently, financial journalists and public relations...

    To Be Published December 29th 2015 by Routledge

  8. Managing Currency Options

    Vanna-Volga Method

    By Kin Keung Lai, Yat Fai Lam

    Series: Routledge Advances in Risk Management

    The book introduces how we can manage currency options with the Vanna-Volga method. It describes the underlying theories and applications of the Vanna-Volga method in managing currency options of a financial institution, conforming to the Basel III regulatory requirements which demand a high...

    To Be Published December 29th 2015 by Routledge

  9. Gold and International Finance

    The gold market under the internationalization of RMB in Hong Kong

    By Kin Keung Lai, Ming Wang, Haywood Cheung

    Series: Routledge Advances in Risk Management

    This book describes the history of gold as a financial instrument and discusses gold exchanges in the major markets. It also describes the history of the Chinese Gold & Silver Exchange Society (CGSES), its current organizational structure and membership registration system. The...

    To Be Published December 29th 2015 by Routledge