Here is the study of acquiring wealth and how to manage it. These books of ours are not only for the students but also meant for those who have thrust of knowledge.
This book is one of the first to introduce and teach Python for finance — in particular, for quantitative finance and for financial analytic.
An In-Depth Guide to Evaluating Return Potential and Assessing Risks.
By providing a solid theoretical basis, this book introduces modern finance to readers, including students in science and technology.
This text is written in such a way that it can be used at different levels and for different groups of undergraduate and graduate students.
A unique book which addresses the twin requirements of success at both the written test and interview level.
The intent of the book is to present thought provoking questions so that an accurate answer will help ensure the reader goes beyond simply memorizing the material.
This book is written for those physicists who want to work on Wall Street but have not bothered to read anything about Finance.
It is a collection of articles on specific aspects of the broad field, written by experts in those areas.
In this book one can explore how managers hide corporate liabilities and why the economic system has not responded appropriately to repair the underlying causes of the problems. It is concluded with a chapter that how to improve the system and exhort readers to work toward this goal.