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Investment & Securities Books

You are currently browsing 21–30 of 58 new and published books in the subject of Investment & Securities — 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 3

  1. Modelling Pension Fund Investment Behaviour (Routledge Revivals)

    By David Blake

    Series: Routledge Revivals

    First published in 1992, this title conducts an in-depth examination of the investment behaviour of pension funds, presenting the first econometric model in this area. Using the well-established framework of modern portfolio theory, David Blake derives a model of optimal portfolio behaviour that...

    Published June 30th 2014 by Routledge

  2. China's Financial Markets

    Issues and Opportunities

    By Ming Wang, Kin Keung Lai, Jerome Yen

    Series: Routledge Advances in Risk Management

    This book provides an overview of China’s financial markets and their latest developments. The book explores and discusses the difficulties in building modern financial markets that are compatible with an increasingly complicated market economy and examines the various strategies to reform China’s...

    Published May 29th 2014 by Routledge

  3. Risk, Risk Management and Regulation in the Banking Industry

    The Risk to Come

    By Peter Pelzer

    Series: Routledge International Studies in Money and Banking

    This highly original book aims to broaden the discussion about risk, the management of risk and regulation, especially in the financial industry. By using terms of the philosopher Jacques Derrida, Peter Pelzer employs philosophical concepts to enrich the understanding of what risk is about and...

    Published May 19th 2014 by Routledge

  4. Public Health in International Investment Law and Arbitration

    By Valentina Vadi

    Series: Routledge Research in International Economic Law

    Is a State free to adopt measures to protect the public health of its citizens? If so, what are the limits, if any, to such regulatory powers? This book addresses these questions by focusing on the clash between the regulatory autonomy of the state and international investment governance. As a wide...

    Published March 14th 2014 by Routledge

  5. Computational Intelligence Techniques for Trading and Investment

    Edited by Christian Dunis, Spiros Likothanassis, Andreas Karathanasopoulos, Georgios Sermpinis, Konstantinos Theofilatos

    Series: Routledge Advances in Experimental and Computable Economics

    Computational intelligence, a sub-branch of artificial intelligence, is a field which draws on the natural world and adaptive mechanisms in order to study behaviour in changing complex environments. This book provides an interdisciplinary view of current technological advances and challenges...

    Published March 6th 2014 by Routledge

  6. Foreign Investment and Spillovers (Routledge Revivals)

    By Magnus Blomstrom

    Series: Routledge Revivals

    The spillover effect of multinational companies has, historically, been subject to much debate. The assumption that the host country can be expected to enjoy spillovers – improvements in the balance of payments, in the influx of foreign currency and in other sectors of the economy not directly...

    Published January 23rd 2014 by Routledge

  7. Law Enforcement and the History of Financial Market Manipulation

    By Jerry Markham

    First Published in 2014. Routledge is an imprint of Taylor & Francis, an informa company....

    Published October 30th 2013 by Routledge

  8. Food Policy and the Environmental Credit Crunch

    From Soup to Nuts

    By Julie Hudson, Paul Donovan

    The changing economic environment for the consumer that is emerging from the wreckage of the financial credit crunch plays directly into the importance of food spending. This is certainly true from the perspective of food prices in the short run, but also from the perspective of sustainability and...

    Published September 20th 2013 by Routledge

  9. The South Sea Bubble

    An Economic History of its Origins and Consequences.

    By Helen Paul

    The book is an economic history of the South Sea Bubble. It combines economic theory and quantitative analysis with historical evidence in order to provide a rounded account. It brings together scholarship from a variety of different fields to update the existing historical work on the Bubble. Up...

    Published August 8th 2013 by Routledge

  10. Volatility Surface and Term Structure

    High-profit Options Trading Strategies

    By Kin Keung Lai, Jerome Yen, Shifei Zhou, Hao Wang

    Series: Routledge Advances in Risk Management

    This book provides different financial models based on options to predict underlying asset price and design the risk hedging strategies. Authors of the book have made theoretical innovation to these models to enable the models to be applicable to real market. The book also introduces risk...

    Published August 6th 2013 by Routledge