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Surviving the Storm Investment:Strategies That Help You Maxi
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共同基金:Mark Mobius 大师系列 MUTUAL FUNDS: AN INTRODUCTION TO THE
作者简介: Mark Mobius, Ph.D., managing director, joined Templeton in 1987 as president of the Templeton Emerging Markets Fund, Inc. He currently directs the analysts based in Templeton’s 12 emerging markets offices and manages the emerging markets portfolios. Dr. Mobius has spent more than 30 years working in emerging markets all over the world.
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套利基金投资者手册The Investor's Guide to Hedge Funds
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EQUITIES: AN INTRODUCTION TO THE CORE CONCEPTS 资产:M·Mobius大师
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The Visual Investor: How to Spot Market Trends,2 edition 按图索
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Trend Trading for a Living Learn the Skills and Gain the Con
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Getting A Job In Private Equity: Behind-The-Scenes Insight I
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Investing From the Top Down A Macro Approach to Capital Mark
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Investing with Intelligent ETFs: Strategies for Profiting fr
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The Art of ASSET ALLOCATION 资产配置的艺术
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预订Body Drop:Notes on Fandom and Pain in Professional Wrestli 预订,预计下单后2-3周左右发货!
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投资委员手册:如何为你的机构进行明智投资 THE HANDBOOK FOR INVESTMENT COMMITTEE M
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(SuperCash:新套利基金资本主义)SUPERCASH: THE NEW HEDGE FUND CAPITALIS
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并购大全:实施并购完成的过程工具 The Complete Guide to Mergers and Acquisiti
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The Handbook for Investment Committee Members: How to Make P
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TRADE STOCKS & COMMODITIES WITH THE INSIDERS: SECRETS OF THE
作者简介: Larry Williams is a hedge fund manager and—based on books in print—perhaps the most widely read futures author of all time. He is the unsurpassed winner of the Robbins World Cup Championship of Futures Trading, taking $10,000 to $1,100,000 in less than twelve months. He has served on the Board of the National Futures Association and twice ran for the U.S. Senate in Montana. Featured in such publications as Barron's, the Wall Street Journal, Forbes, and Fortune, Mr. Williams has been one of the most widely quoted and followed advisors over the past twenty-five years. His other books published by Wiley include Long-Term Secrets to Short-Term Trading, The Right Stock at the Right Time, and Day Trade Futures Online. To contact Larry Williams, please e-mail him at LarryW@Ireallytrade.com.
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Fear, Greed & Panic: The Psychology of the Stock Market 害怕,贪
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My Word Is My Bond: Voices from Inside the Chicago Board of
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Seasonal Stock Market Trends: The Definitive Guide to Calend
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债券市场导论/AN INTRODUCTION TO THE BOND MARKETS
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永远财富:股票市场分析WEALTH FOREVER: THE ANALYTICS OF STOCK MARKETS
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The CPM Gold Yearbook 2008CPM黄金年鉴 2009
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成功投资与贸易的观念与战略The Nature of Trends : Strategies and Concepts
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Venture Capital and the Finance of Innovation风险资本与革新财政
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Energy And Environmental Hedge Funds: The New Investment Par
作者简介: Peter Fusaro has written four books on energy hedging (two with John Wiley) including the New York Times best seller What Went Wrong at Enron. He is recognized throughout Asia as an energy risk management expert, and has spoken at several APEC meetings as well as in China, Thailand, Indonesia, Korea, Australia and Japan on energy trading. He has also written a Financial Times Report, Asia Pacific Energy Derivatives, and conducted many energy hedging and risk management studies for Japanese and Korean companies and governments on these topics for the past 10 years.
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证券化:未来金融投资SECURITIZATION THE FINANCIAL INSTRUMENT OF THE FUT
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全球投资与风险管理的观念与策略Investing and Risk Management Concepts and St
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The CPM Silver Yearbook 2008CPM白银年鉴 2008
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期货市场制胜之道 BEATING THE FINANCIAL FUTURES MARKETS
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THE ENCYCLOPDIA OF COMMODITY AND FINANCIAL SPREADS 商品与财务差价百科
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THE BEST OF WILMOTT 1 Wilmott论文精选 1:定量金融评论2003年研究
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A HISTORY OF THE THEORY OF INVESTMENTS: MY ANNOTATED BIBLIOG
作者简介: MARK RUBINSTEIN is the Paul Stephens Professor of Applied Investment Analysis at the Haas School of Business at the University of California, Berkeley. He is best known for his work on derivatives and asset pricing. Rubinstein is also the author or coauthor of numerous books, including Options Markets, Derivatives: A PowerPlus Picture Book, and Rubinstein on Derivatives, and has won numerous prizes and awards for his research and writing on derivatives. He is a graduate of Harvard University, Stanford University, and the University of California at Los Angeles.
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套利基金执行与风险管理指南 THE HEDGE FUND COMPLIANCE AND RISK MANAGEMENT
作者简介: Armelle Guizot is working in operational risk consulting and on-demand special research projects at various firms globally. From 2004–2005 Guizot researched the role of risk management in offshore management hubs. She also participated in the development of operational risk management in funds and transfer agency lines of businesses. Guizot holds a master's in financial engineering from Cornell and is a graduate of West Virginia State University.
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Venture Capital and the Finance of Innovation风险资本与革新财政
作者介绍:Andrew Metrick Andrew Metrick is an Associate Professor of Finance at the Wharton School of the University of Pennsylvania, where he teaches Venture Capital and the Finance of Innovation. Dr. Metrick received a BA in Economics and Mathematics from Yale and a Ph.D. in Economics from Harvard. Dr. Metrick has received numerous teaching awards and distinctions, including recognition by BusinessWeek as one of the best teachers at Wharton.
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【预订】More Agile Testing: Learning Journeys for the Whole Team 美国库房发货,通常付款后3-5周到货!
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Cash Return on Capital Invested: Ten Years of Investment Ana
作者介绍:Pascal Costantini Pascal Costantini is a Managing Director in Deutsche Banks Global Markets Research. He researches and designs systematic equity trading strategies for a multitude of applications, including proprietary trading, structured and derivative products. Mr. Costantini runs Deutsche Banks Global Valuation and CROCI Investment Strategy Group. This thirty-member team focuses on the relative value of the top 700 companies in the world, and designs investment strategies for institutional clients as well as for structured products. Prior to this, he was the Banks Global Sector Strategist.
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预订Grammar Choices for Graduate and Professional Writers 预订,预计下单后2-3周左右发货!
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风险资本投资基金计划管理BEYOND THE J CURVE - MANAGING A PORTFOLIO OF
作者简介: DR THOMAS MEYER studied computer science at the Bundeswehr Universitat in Munich followed by doctoral studies at the University of Trier. He also holds an MBA from the London Business School. After 12 years in the German Air Force he worked for the German insurance group Allianz AG in Corporate Finance and M&A with particular focus on Japan, and as the regional Chief Financial Officer of Allianz Asia Pacific in Singapore.
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High Probability Trading Strategies + Cd: Entry To Exit Tact
作者简介: Robert C. Miner has been a leading trading educator for more than twenty years and publishes daily reports on the Forex, stock, and futures markets. He speaks around the world on trading and has written for a wide variety of trading publications. Miner has been named "Guru of the Year" and is a first-place winner of a major brokerage company's annual real-time trading contest.
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The Swing Traders Bible: Strategies to Profit from Market Vo
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融资增长手册:策略与资本结构 THE HANDBOOK OF FINANCING GROWTH
作者简介: KENNETH H. MARKS is President of an emerging growth subsidiary of the Raytheon Company, and Managing Director of Marks & Company Inc. (www.marksandcompany.com), which provides strategic advisory and corporate development services. Mr. Marks has been involved as management, advisor, and board member with over a dozen emerging growth and middle-market companies. He is a member of the Young Presidents Organization (YPO), the founding YPO Sponsor of the Young Entrepreneurs Organization (YEO), RTP, NC, as well as a member of the Council for Entrepreneurial Development, and the Association for Corporate Growth. He created and teaches "Managing Emerging Growth Companies," an MBA elective at the Hult International Business School in Boston. Mr. Marks obtained his MBA from The University of North Carolina at Chapel Hill.
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预订Study Guide to Technical Analysis of the Financial Markets 预订,下单后3-4周发货!
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公平证券投资建模:从CAPM到共积FINANCIAL MODELING OF THE EQUITY MARKET: FR
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Juran’s Quality Handbook: The Complete Guide to Perfo
Product Details 基本信息 ISBN-13 书号 9780071629737 Author 作者 Juran, Joseph M. Pages Number 页数 1113页 Publisher 出版社 McGraw-Hill Professional Publishing Publication Date 出版日期 2010年06月16日 Product Dimensions 商品尺寸 22.9 x 17.8 x 2.5 cm Shipping Weight 商品重量 1814 Language 语种 英文 Book Description 内容简介 The definitive quality management compendium--revised for the first time in a decade For more than 50 years, Juran s Quality Handbook has been the singular essential reference to quality management and engineering. The Sixth Edition--the first revision of the Handbook in 10 years--forges a new standard in tools for quality. Bringing leaders, managers, master and black belts, and engineers the most up-to-date methods, research, and tools, under the guidance of a team of the world s top experts, this authoritat
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Lessons from Private Equity Any Company Can Use (Memo to the
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融资课程(THE EQUITY TRADER COURSE + CD)
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