The Motley Fool’s What to Do with Your Money Now: Ten Steps to Staying Up in a Down Market: David Gardner, Tom Gardner

Editorial Reviews
Go back in time for a minute, when the Motley Fool’s last big investment book was first published in January 1999. The NASDAQ was hovering at around 2300, stocks like Cisco and Microsoft were leading the markets up, and the Motley Fool had four books on Amazon’s bestseller lists, including Rule [...]

Make Yourself a Millionaire: Charles Zhang, Lynn Zhang

Editorial Reviews

Easy-to-follow personal finance guidelines–from #1 Rated Financial Advisor with American Express Financial Advisors Charles Zhang became one of today’s most nationally known and trusted financial advisers by stressing sanity and sensible investing over dubious, get-rich-quick tricks and schemes. In Make Yourself a Millionaire, Zhang transfers his program to [...]

Boomer or Bust: Your Financial Guide to Retirement, Health Care, Medicare, and Long-Term Care: Steve Weisman

Review
Financial guidance for the “sandwich generation.” Baby Boomers are finding themselves in an odd place, concerned with caring for their kids and their parents–all while thinking ahead to their own retirement. Meanwhile, the old standbys, like Social Security, Medicare and Medicaid, are all changing. Weisman effectively [...]

Advanced Financial Risk Management: Tools & Techniques for Integrated Credit Risk and Interest Rate Risk Managements: Donald R. Van Deventer, Kenji Imai, Mark Mesler

Editorial Reviews
Product Description
An in-depth look at financial risk management Advanced Financial Risk Management integrates interest rate risk, credit risk, foreign exchange risk, and capital allocation using a consistent risk management approach. It explains, in detailed, yet understandable terms, the analytics of these issues from [...]

Advanced Financial Risk Management: Tools & Techniques for Integrated Credit Risk and Interest Rate Risk Managements: Donald R. Van Deventer, Kenji Imai, Mark Mesler

Editorial Reviews
Product Description
An in-depth look at financial risk management Advanced Financial Risk Management integrates interest rate risk, credit risk, foreign exchange risk, and capital allocation using a consistent risk management approach. It explains, in detailed, yet understandable terms, the analytics of these issues from [...]

Measuring and Controlling Interest Rate and Credit Risk: Frank J. Fabozzi, Steven V. Mann, Moorad Choudhry

Editorial Reviews
Product Description
Measuring and Controlling Interest Rate and Credit Risk provides keys to using derivatives to control interest rate risk and credit risk, and controlling interest rate risk in a mortgage-backed securities derivative portfolio. This book includes information on measuring yield curve risk, swaps and [...]