Financial-future
Related Subjects:
Derivatives-market
BBA-LIBOR
Exotic-interest-rate-option
Interest-rate-cap
Interest-rate-swap
LIBOR
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Book reviews for "Financial-future" sorted by average review score:

The Road to Wealth: Securing Your Financial Future
Published in Paperback by Penguin Books Australia Ltd ()
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Saving the Best for Last: Planning a Secure Future for Your Family
Published in Paperback by Moody Pr (01 May, 1994)
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Saving For Retirement : Supercharge Your Financial Future! (Savvy Savings Guide for Home and Business)
Published in Paperback by John Wiley & Sons (07 March, 2003)
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Save Smart for a Secure Future: The Essential Guide to Achieving Your Retirement Dreams
Published in Paperback by MacMillan Publishing Company. (13 January, 1999)
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A Smart Way to Save for Retirement
Risk Takers : Uses and Abuses of Financial Derivatives
Published in Paperback by Pearson Education (29 December, 2003)
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Risk Management in Developing Countries (World Bank Technical Paper, No 235)
Published in Paperback by World Bank (01 September, 1993)
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Risk Management and Hedging in Financial Markets
Published in Hardcover by Garland Publishing (01 March, 2000)
Amazon base price: $55.00

Risk Management and Financial Engineering
Published in Hardcover by Prentice Hall (01 January, 2003)
Amazon base price: $86.67

Risk Management and Analysis, New Markets and Products (Wiley Series in Financial Engineering)
Published in Hardcover by John Wiley & Sons (19 January, 1999)
Amazon base price: $125.00
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Average review score: 

Excellent content, but misleading title.This book is a continuation of volume 1 - being that it is purely focused on financial markets and financial products. I was looking for a book on managing risk surrounding the development of new products (i.e. goods) and services for the market place. These issues are VERY different than those surrounding financial products in a nearly efficient market. I'll keep the book for the excellent content, but beware - it's probably not what you might expect!
Great Collection of PapersThe chapters on Interest Rate Option Models (Riccardo Rebonato) and Calculating Risk Capital (Thomas Wilson) are great critical surveys on their respective topic

Risk Management and Analysis, Measuring and Modelling Financial Risk (Wiley Series in Financial Engineering)
Published in Hardcover by John Wiley & Sons (19 January, 1999)
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Average review score: 

Good CoverageThis book covers the topic very well. It is clear and concise. Useful for anyone who wants an overview of risk management concepts. But if you are like me who understands better with lots of numbers and examples, this is not it.
Financial Models Using Simulation and OptimaizationA good book to tell you methodical risk analysis in the area of fincance and marketing. If more interpretaions of analysis results written there, I would have rated it as "5" stars.
Spitz restates the well documented correlation between investment risk and reward and attempts to put it in proper perspective for those who are in the process of saving for retirement. Briefly, he cites five factors which must be considered when evaluating investment risk. They are time, human capital, financial responsibilites, other resources, and emotional makeup. For each factor he discusses important considerations and provides some guidelines to help in understanding.
The section on creating an investment portfolio is interesting and well done. He introduces the theory of the optimization process an its use in selecting appropriate investment choices. He presents four recommended portfolios and discusses them based on risk/reward projections.
This is a nice guide to saving for retirement. I have a feeling I will be using it fairly often when I need to refresh my memory on some important basics of saving and investing.