Search result "economic" : 1000 matches.
Macroeconomics Demystified (Paperback)
Extensive and topical in scope, this book covers not only the classic economic theories, but also contemporary economic situations, including the more recent one-Sub-prime crisis. Through this guide, readers can now make sense of the daily dose of economic news and views
(less)Macroeconomics Demystified
Extensive and topical in scope, this book covers not only the classic economic theories, but also contemporary economic situations, including the more recent one-Sub-prime crisis. Through this guide, readers can now make sense of the daily dose of economic news and views.
..
. Deliverable Countries : This product ships to Written in a jargon-free and reader-friendly manner, this refreshingly new book simplifies complex concepts and dispassionately discussed various perspectives on economic phenomena.
Further, it helps readers understand expert opinion on crucial issues like capital inflows, inflation, balance of payments, and budgetary and monetary policies reported in the media. Extensive and topical in scope, this book covers not only the classic economic theories, but also contemporary economic situations, including the more recent one-Sub-prime crisis.
Through this guide, readers can now make sense of the daily dose of economic news and views..
..
Deliverable Countries : This product ships to Written in a jargon-free and reader-friendly manner, this refreshingly new book simplifies complex concepts and dispassionately discussed various perspectives on economic phenomena. Further, it helps readers understand expert opinion on crucial issues like capital inflows, inflation, balance of payments, and budgetary and monetary policies reported in the media.
Extensive and topical in scope, this book covers not only the classic economic theories, but also contemporary economic situations, including the more recent one-Sub-prime crisis. Through this guide, readers can now make sense of the daily dose of economic news and views.
..
. Deliverable Countries : This product ships to Written in a jargon-free and reader-friendly manner, this refreshingly new book simplifies complex concepts and dispassionately discussed various perspectives on economic phenomena.
Further, it helps readers understand expert opinion on crucial issues like capital inflows, inflation, balance of payments, and budgetary and monetary policies reported in the media. Extensive and topical in scope, this book covers not only the classic economic theories, but also contemporary economic situations, including the more recent one-Sub-prime crisis.
Through this guide, readers can now make sense of the daily dose of economic news and views..
..
Deliverable Countries : This product ships to
(less)Enslaved Innocence Child Labour In South Asia
This volume attempts to highlight the structural factors in capitalist societies that have made such exploitation possible, and to place the issue of child labour in a theoretical framework relating to capitalist modes of production and the need for the generation of surplus for capital accumulation. Extremely exploitative labour processes bring out the supply and demand factors of child labour.
The persistence of child labour in an era of high growth and high unemployment levels amongst adult men and women points to an economic system based heavily on exploitative labour relations. As we move further into the twenty-first century, the existence of child labour in the world is a reality which must be faced.
It is within this context that the present volume takes into consideration the changing global economic conditions and focuses on issues and strategies for the eradication of child labour. *
(less)Enslaved Innocence Child Labour In South Asia
This volume attempts to highlight the structural factors in capitalist societies that have made such exploitation possible, and to place the issue of child labour in a theoretical framework relating to capitalist modes of production and the need for the generation of surplus for capital accumulation. Extremely exploitative labour processes bring out the supply and demand factors of child labour.
The persistence of child labour in an era of high growth and high unemployment levels amongst adult men and women points to an economic system based heavily on exploitative labour relations. As we move further into the twenty-first century, the existence of child labour in the world is a reality which must be faced.
It is within this context that the present volume takes into consideration the changing global economic conditions and focuses on issues and strategies for the eradication of child labour. *
(less)The Ice Forest: Six Stories
His current work focuses on the skills and behaviors of managers who operate in collaborative settings. Deliverable Countries : This product ships to Michael Mc Guire has contributed to The Ice Forest: Six Stories as an author.
Michael McGuire is an associate professor, Department of Public Administration, at the University of North Texas and has studied interorganizational and intergovernmental collaboration, rural policy, and economic development strategy. His current work focuses on the skills and behaviors of managers who operate in collaborative settings.
Deliverable Countries : This product ships to Michael Mc Guire has contributed to The Ice Forest: Six Stories as an author. Michael McGuire is an associate professor, Department of Public Administration, at the University of North Texas and has studied interorganizational and intergovernmental collaboration, rural policy, and economic development strategy.
His current work focuses on the skills and behaviors of managers who operate in collaborative settings. Deliverable Countries : This product ships to Michael Mc Guire has contributed to The Ice Forest: Six Stories as an author.
Michael McGuire is an associate professor, Department of Public Administration, at the University of North Texas and has studied interorganizational and intergovernmental collaboration, rural policy, and economic development strategy. His current work focuses on the skills and behaviors of managers who operate in collaborative settings.
Deliverable Countries : This product ships to
(less)Trade And Politics On The Coromandel Coast Seventeenth And Early Eighteenth Centuries
Trade and Politics on the Coromandel Coast: Seventeenth and Early Eighteenth Centuries addresses the breakdown of the political structures within which the merchants operated, and the impact of the arrival of the Europeans, especially the English. In so doing, it explores the transitional nature of the seventeenth century and the ways in which the European trading companies, Indian states, and merchants interacted with each other.
Situated within the larger historical context of the trading world of the Coromandel Coast, this regional history challenges accepted notions about the place of merchants and the state, and through a detailed economic history, sheds new light on the political and transitional nature of the period. *
(less)Trade And Politics On The Coromandel Coast Seventeenth And Early Eighteenth Centuries
Trade and Politics on the Coromandel Coast: Seventeenth and Early Eighteenth Centuries addresses the breakdown of the political structures within which the merchants operated, and the impact of the arrival of the Europeans, especially the English. In so doing, it explores the transitional nature of the seventeenth century and the ways in which the European trading companies, Indian states, and merchants interacted with each other.
Situated within the larger historical context of the trading world of the Coromandel Coast, this regional history challenges accepted notions about the place of merchants and the state, and through a detailed economic history, sheds new light on the political and transitional nature of the period. *
(less)Cash And Derivatives Markets In Forex
For business managers, it has become more necessary than ever to understand the functioning of currency markets and instruments, especially derivatives used for hedging. The author brings his expertise and rich experience of several decades in this field, in the book "Cash and DerivativesMarkets in Foreign Exchange" to provide the reader with an understanding of the functioning of currency markets and its instruments.
A companion volume to his book Currency Exposures and Derivatives: Risk, Hedging, Speculation and Accounting-A Corporate Treasurer's Handbook, this book is divided into two parts, covering: About The Author A. V.
Rajwade is a well-known risk management consultant, author, columnist and trainer. He has vast experience and expertise in the financial markets including two decades of working with the SBI in India and abroad and almost three decades of consulting many corporate organizations and banks.
He has been a member of RBI's Sodhani Committee on Foreign Exchange Markets in India and both the Committees on Capital Account Convertibility, and is also on the board of several public and private limited companies including Clearing Corporation of India, Thomas Cook, and Royal Sundaram Alliance Insurance Co. etc.
Rajwade has been contributing a popular weekly column "World Money" (first published in The Economic Times and later in Business Standard) for the last three decades. He has taught at premier management schools, such as IIM Ahmedabad and S.
P. Jain Institute of Management.
He has authored several books including Handbook of Debt Securities and Interest Rate Derivatives (2007) published by Tata McGraw Hill Table Of Contents Section I Section II Deliverable Countries : This product ships to The last few decades have been witness to a far greater degree of globalisation. There has been a leap in world trade and cross-border finance, and a sharp rise in the currency exposures of Indian businesses, even as exchange rates have become more volatile.
For business managers, it has become more necessary than ever to understand the functioning of currency markets and instruments, especially derivatives used for hedging. The author brings his expertise and rich experience of several decades in this field, in the book "Cash and DerivativesMarkets in Foreign Exchange" to provide the reader with an understanding of the functioning of currency markets and its instruments.
A companion volume to his book Currency Exposures and Derivatives: Risk, Hedging, Speculation and Accounting-A Corporate Treasurer's Handbook, this book is divided into two parts, covering: About The Author A. V.
Rajwade is a well-known risk management consultant, author, columnist and trainer. He has vast experience and expertise in the financial markets including two decades of working with the SBI in India and abroad and almost three decades of consulting many corporate organizations and banks.
He has been a member of RBI's Sodhani Committee on Foreign Exchange Markets in India and both the Committees on Capital Account Convertibility, and is also on the board of several public and private limited companies including Clearing Corporation of India, Thomas Cook, and Royal Sundaram Alliance Insurance Co. etc.
Rajwade has been contributing a popular weekly column "World Money" (first published in The Economic Times and later in Business Standard) for the last three decades. He has taught at premier management schools, such as IIM Ahmedabad and S.
P. Jain Institute of Management.
He has authored several books including Handbook of Debt Securities and Interest Rate Derivatives (2007) published by Tata McGraw Hill Table Of Contents Section I Section II Deliverable Countries : This product ships to The last few decades have been witness to a far greater degree of globalisation. There has been a leap in world trade and cross-border finance, and a sharp rise in the currency exposures of Indian businesses, even as exchange rates have become more volatile.
For business managers, it has become more necessary than ever to understand the functioning of currency markets and instruments, especially derivatives used for hedging. The author brings his expertise and rich experience of several decades in this field, in the book "Cash and DerivativesMarkets in Foreign Exchange" to provide the reader with an understanding of the functioning of currency markets and its instruments.
A companion volume to his book Currency Exposures and Derivatives: Risk, Hedging, Speculation and Accounting-A Corporate Treasurer's Handbook, this book is divided into two parts, covering: About The Author A. V.
Rajwade is a well-known risk management consultant, author, columnist and trainer. He has vast experience and expertise in the financial markets including two decades of working with the SBI in India and abroad and almost three decades of consulting many corporate organizations and banks.
He has been a member of RBI's Sodhani Committee on Foreign Exchange Markets in India and both the Committees on Capital Account Convertibility, and is also on the board of several public and private limited companies including Clearing Corporation of India, Thomas Cook, and Royal Sundaram Alliance Insurance Co. etc.
Rajwade has been contributing a popular weekly column "World Money" (first published in The Economic Times and later in Business Standard) for the last three decades. He has taught at premier management schools, such as IIM Ahmedabad and S.
P. Jain Institute of Management.
He has authored several books including Handbook of Debt Securities and Interest Rate Derivatives (2007) published by Tata McGraw Hill Table Of Contents Section I Section II Deliverable Countries : This product ships to The last few decades have been witness to a far greater degree of globalisation. There has been a leap in world trade and cross-border finance, and a sharp rise in the currency exposures of Indian businesses, even as exchange rates have become more volatile.
For business managers, it has become more necessary than ever to understand the functioning of currency markets and instruments, especially derivatives used for hedging. The author brings his expertise and rich experience of several decades in this field, in the book "Cash and DerivativesMarkets in Foreign Exchange" to provide the reader with an understanding of the functioning of currency markets and its instruments.
A companion volume to his book Currency Exposures and Derivatives: Risk, Hedging, Speculation and Accounting-A Corporate Treasurer's Handbook, this book is divided into two parts, covering: About The Author A. V.
Rajwade is a well-known risk management consultant, author, columnist and trainer. He has vast experience and expertise in the financial markets including two decades of working with the SBI in India and abroad and almost three decades of consulting many corporate organizations and banks.
He has been a member of RBI's Sodhani Committee on Foreign Exchange Markets in India and both the Committees on Capital Account Convertibility, and is also on the board of several public and private limited companies including Clearing Corporation of India, Thomas Cook, and Royal Sundaram Alliance Insurance Co. etc.
Rajwade has been contributing a popular weekly column "World Money" (first published in The Economic Times and later in Business Standard) for the last three decades. He has taught at premier management schools, such as IIM Ahmedabad and S.
P. Jain Institute of Management.
He has authored several books including Handbook of Debt Securities and Interest Rate Derivatives (2007) published by Tata McGraw Hill Table Of Contents Section I Section II Deliverable Countries : This product ships to
(less)Stocks To Riches
It's simple to follow, but it encapsulates a rich store of insights garnered over decades of studying and analyzing the stock market. He demystifies what is a daunting field for most people, and thus does a great service to all who have ventured into it-or are summoning the courage to do so.
Bachi karkaria, Columnist, The Times of India 'An extremely insightful book of great practical value that evey investor, both beginners and the experienced, should read.' Chetan Parikh, Director, Capital Ideas Online.
com Investing in the stock market is challenging, as the market dynamics are unpredictable. Analysts, brokers and retails investors realize to their dismay that `investments do well, but investors don't do well?.
What could be the reasons behind this? What goes on in an investor's mind? What makes a stock market bubble? How does it burst? How does one find the right strategy of investing' Intrigued by these pertinent questions, Parag Parikh, a seasoned broker and expert, took up this daunting task of understanding and demystifying investing in the stock market. Stocks to Riches is a distillate of his experience.
It simplifies investing in stocks and provides key perspectives for a lay investor venturing into the market. At the end of the day, Stocks to Riches helps the retail investor make money by following the time-tested and proven guidelines provided in the book.
A must read for brokers, analysts and retail investors. About The Author Parag Parikh is Founder Chairman of Parag Parikh Financial Advisory Services Limited (PPFAS), Mumbai.
Mr Parikh has over 25 years' experience in investing, broking and advisory business. He regularly shares his insights through guest contributions in many of India's leading financial publications such as The Economic Times, Business Standard and DNA, through appearances on CNBC, NDTV Profit, Aaj Tak and Star News, as well as by undertaking lectures at various investor and educational forums.
Mr Parikh has a Masters in Commerce from Mumbai University and is a Certified Financial Planner (CFP) from the Financial Planning Standards Boards of India. He is an alumni of the Harvard Business School having successfully completed the prestigious Owner President Management Program.
He has also attended the program on Investment Decisions and Behaviourial Finance at the John F. Kennedy School of Government at the Harvard.
A keen believer in nurturing one's physical, mental, emotional, and spiritual side, Mr Parikh engages in physical activities such as golf, reads extensively, and practices Vipassana regularly. Table Of Contents Deliverable Countries : This product ships to 'First book on stock market for the large investor, in a simple, easy=-to-understand language, which imparts sound thinking on the behaviour and philosophy of investing in stock market.
? Ravi Mohan, Managing Director & CEO, CRISIL Limited 'Parag Parikh ahs distilled his years of experience into this ready recknoner. It's simple to follow, but it encapsulates a rich store of insights garnered over decades of studying and analyzing the stock market.
He demystifies what is a daunting field for most people, and thus does a great service to all who have ventured into it-or are summoning the courage to do so. Bachi karkaria, Columnist, The Times of India 'An extremely insightful book of great practical value that evey investor, both beginners and the experienced, should read.
' Chetan Parikh, Director, Capital Ideas Online.com Investing in the stock market is challenging, as the market dynamics are unpredictable.
Analysts, brokers and retails investors realize to their dismay that `investments do well, but investors don't do well?. What could be the reasons behind this? What goes on in an investor's mind? What makes a stock market bubble? How does it burst? How does one find the right strategy of investing' Intrigued by these pertinent questions, Parag Parikh, a seasoned broker and expert, took up this daunting task of understanding and demystifying investing in the stock market.
Stocks to Riches is a distillate of his experience. It simplifies investing in stocks and provides key perspectives for a lay investor venturing into the market.
At the end of the day, Stocks to Riches helps the retail investor make money by following the time-tested and proven guidelines provided in the book. A must read for brokers, analysts and retail investors.
About The Author Parag Parikh is Founder Chairman of Parag Parikh Financial Advisory Services Limited (PPFAS), Mumbai. Mr Parikh has over 25 years' experience in investing, broking and advisory business.
He regularly shares his insights through guest contributions in many of India's leading financial publications such as The Economic Times, Business Standard and DNA, through appearances on CNBC, NDTV Profit, Aaj Tak and Star News, as well as by undertaking lectures at various investor and educational forums. Mr Parikh has a Masters in Commerce from Mumbai University and is a Certified Financial Planner (CFP) from the Financial Planning Standards Boards of India.
He is an alumni of the Harvard Business School having successfully completed the prestigious Owner President Management Program. He has also attended the program on Investment Decisions and Behaviourial Finance at the John F.
Kennedy School of Government at the Harvard. A keen believer in nurturing one's physical, mental, emotional, and spiritual side, Mr Parikh engages in physical activities such as golf, reads extensively, and practices Vipassana regularly.
Table Of Contents Deliverable Countries : This product ships to 'First book on stock market for the large investor, in a simple, easy=-to-understand language, which imparts sound thinking on the behaviour and philosophy of investing in stock market.? Ravi Mohan, Managing Director & CEO, CRISIL Limited 'Parag Parikh ahs distilled his years of experience into this ready recknoner.
It's simple to follow, but it encapsulates a rich store of insights garnered over decades of studying and analyzing the stock market. He demystifies what is a daunting field for most people, and thus does a great service to all who have ventured into it-or are summoning the courage to do so.
Bachi karkaria, Columnist, The Times of India 'An extremely insightful book of great practical value that evey investor, both beginners and the experienced, should read.' Chetan Parikh, Director, Capital Ideas Online.
com Investing in the stock market is challenging, as the market dynamics are unpredictable. Analysts, brokers and retails investors realize to their dismay that `investments do well, but investors don't do well?.
What could be the reasons behind this? What goes on in an investor's mind? What makes a stock market bubble? How does it burst? How does one find the right strategy of investing' Intrigued by these pertinent questions, Parag Parikh, a seasoned broker and expert, took up this daunting task of understanding and demystifying investing in the stock market. Stocks to Riches is a distillate of his experience.
It simplifies investing in stocks and provides key perspectives for a lay investor venturing into the market. At the end of the day, Stocks to Riches helps the retail investor make money by following the time-tested and proven guidelines provided in the book.
A must read for brokers, analysts and retail investors. About The Author Parag Parikh is Founder Chairman of Parag Parikh Financial Advisory Services Limited (PPFAS), Mumbai.
Mr Parikh has over 25 years' experience in investing, broking and advisory business. He regularly shares his insights through guest contributions in many of India's leading financial publications such as The Economic Times, Business Standard and DNA, through appearances on CNBC, NDTV Profit, Aaj Tak and Star News, as well as by undertaking lectures at various investor and educational forums.
Mr Parikh has a Masters in Commerce from Mumbai University and is a Certified Financial Planner (CFP) from the Financial Planning Standards Boards of India. He is an alumni of the Harvard Business School having successfully completed the prestigious Owner President Management Program.
He has also attended the program on Investment Decisions and Behaviourial Finance at the John F. Kennedy School of Government at the Harvard.
A keen believer in nurturing one's physical, mental, emotional, and spiritual side, Mr Parikh engages in physical activities such as golf, reads extensively, and practices Vipassana regularly. Table Of Contents Deliverable Countries : This product ships to 'First book on stock market for the large investor, in a simple, easy=-to-understand language, which imparts sound thinking on the behaviour and philosophy of investing in stock market.
? Ravi Mohan, Managing Director & CEO, CRISIL Limited 'Parag Parikh ahs distilled his years of experience into this ready recknoner. It's simple to follow, but it encapsulates a rich store of insights garnered over decades of studying and analyzing the stock market.
He demystifies what is a daunting field for most people, and thus does a great service to all who have ventured into it-or are summoning the courage to do so. Bachi karkaria, Columnist, The Times of India 'An extremely insightful book of great practical value that evey investor, both beginners and the experienced, should read.
' Chetan Parikh, Director, Capital Ideas Online.com Investing in the stock market is challenging, as the market dynamics are unpredictable.
Analysts, brokers and retails investors realize to their dismay that `investments do well, but investors don't do well?. What could be the reasons behind this? What goes on in an investor's mind? What makes a stock market bubble? How does it burst? How does one find the right strategy of investing' Intrigued by these pertinent questions, Parag Parikh, a seasoned broker and expert, took up this daunting task of understanding and demystifying investing in the stock market.
Stocks to Riches is a distillate of his experience. It simplifies investing in stocks and provides key perspectives for a lay investor venturing into the market.
At the end of the day, Stocks to Riches helps the retail investor make money by following the time-tested and proven guidelines provided in the book. A must read for brokers, analysts and retail investors.
About The Author Parag Parikh is Founder Chairman of Parag Parikh Financial Advisory Services Limited (PPFAS), Mumbai. Mr Parikh has over 25 years' experience in investing, broking and advisory business.
He regularly shares his insights through guest contributions in many of India's leading financial publications such as The Economic Times, Business Standard and DNA, through appearances on CNBC, NDTV Profit, Aaj Tak and Star News, as well as by undertaking lectures at various investor and educational forums. Mr Parikh has a Masters in Commerce from Mumbai University and is a Certified Financial Planner (CFP) from the Financial Planning Standards Boards of India.
He is an alumni of the Harvard Business School having successfully completed the prestigious Owner President Management Program. He has also attended the program on Investment Decisions and Behaviourial Finance at the John F.
Kennedy School of Government at the Harvard. A keen believer in nurturing one's physical, mental, emotional, and spiritual side, Mr Parikh engages in physical activities such as golf, reads extensively, and practices Vipassana regularly.
Table Of Contents Deliverable Countries : This product ships to
(less)Cash And Derivatives Markets In Forex
For business managers, it has become more necessary than ever to understand the functioning of currency markets and instruments, especially derivatives used for hedging. The author brings his expertise and rich experience of several decades in this field, in the book "Cash and DerivativesMarkets in Foreign Exchange" to provide the reader with an understanding of the functioning of currency markets and its instruments.
A companion volume to his book Currency Exposures and Derivatives: Risk, Hedging, Speculation and Accounting-A Corporate Treasurer's Handbook, this book is divided into two parts, covering: Domestic and global cash markets in foreign exchange, overview of global financial markets, and exchange rate movements. Domestic and global derivatives markets in foreign exchange: forwards and futures, swaps and options About The Author A.
V. Rajwade is a well-known risk management consultant, author, columnist and trainer.
He has vast experience and expertise in the financial markets including two decades of working with the SBI in India and abroad and almost three decades of consulting many corporate organizations and banks. He has been a member of RBI's Sodhani Committee on Foreign Exchange Markets in India and both the Committees on Capital Account Convertibility, and is also on the board of several public and private limited companies including Clearing Corporation of India, Thomas Cook, and Royal Sundaram Alliance Insurance Co.
etc. Rajwade has been contributing a popular weekly column "World Money" (first published in The Economic Times and later in Business Standard) for the last three decades.
He has taught at premier management schools, such as IIM Ahmedabad and S. P.
Jain Institute of Management. He has authored several books including Handbook of Debt Securities and Interest Rate Derivatives (2007) published by Tata McGraw Hill Table Of Contents Section I 1.
Foreign Exchange Rates 2. Foreign Exchange Markets 3.
Exchange Arithmetic 4. Global Financial Markets: An Overview 5.
Exchange Rate Movements and Managing Currency Risks Section II 6. Markets In Currency Derivatives 7.
Futures and FRAs 8. Interest Rate and Currency Swaps the Global Market 9.
USD: INR Swaps 10. Option Contracts 11.
Pricing and Hedging Options: Basic Principles 12. Credit and Commodity Derivatives
(less)Stocks To Riches (Paperback)
It's simple to follow, but it encapsulates a rich store of insights garnered over decades of studying and analyzing the stock market. He demystifies what is a daunting field for most people, and thus does a great service to all who have ventured into it-or are summoning the courage to do so.
Bachi karkaria, Columnist, The Times of India 'An extremely insightful book of great practical value that evey investor, both beginners and the experienced, should read.' Chetan Parikh, Director, Capital Ideas Online.
com Investing in the stock market is challenging, as the market dynamics are unpredictable. Analysts, brokers and retails investors realize to their dismay that `investments do well, but investors don't do well?.
What could be the reasons behind this? What goes on in an investor's mind? What makes a stock market bubble? How does it burst? How does one find the right strategy of investing' Intrigued by these pertinent questions, Parag Parikh, a seasoned broker and expert, took up this daunting task of understanding and demystifying investing in the stock market. Stocks to Riches is a distillate of his experience.
It simplifies investing in stocks and provides key perspectives for a lay investor venturing into the market. At the end of the day, Stocks to Riches helps the retail investor make money by following the time-tested and proven guidelines provided in the book.
A must read for brokers, analysts and retail investors. About The Author Parag Parikh is Founder Chairman of Parag Parikh Financial Advisory Services Limited (PPFAS), Mumbai.
Mr Parikh has over 25 years' experience in investing, broking and advisory business. He regularly shares his insights through guest contributions in many of India's leading financial publications such as The Economic Times, Business Standard and DNA, through appearances on CNBC, NDTV Profit, Aaj Tak and Star News, as well as by undertaking lectures at various investor and educational forums.
Mr Parikh has a Masters in Commerce from Mumbai University and is a Certified Financial Planner (CFP) from the Financial Planning Standards Boards of India. He is an alumni of the Harvard Business School having successfully completed the prestigious Owner President Management Program.
He has also attended the program on Investment Decisions and Behaviourial Finance at the John F. Kennedy School of Government at the Harvard.
A keen believer in nurturing one's physical, mental, emotional, and spiritual side, Mr Parikh engages in physical activities such as golf, reads extensively, and practices Vipassana regularly. Table Of Contents Chapter 1.
Investing Chapter 2. Investment Strategy: Investment and Speculation Chapter 3.
Three Ways of Investing Chapter 4. Introduction to Behavioural Finance Chapter 5.
Loss Aversion and Sunk Cost Fallacy Chapter 6. Decision Paralysis and the Endowment Effect Chapter 7.
Mental Accounting Chapter 8. Mental Heuristics Chapter 9.
Mutual Funds: An Idea Whose Time has Gone Chapter 10. The Stock Market Bubble Chapter 11.
Why Must One Invest
(less)OECD Economic Surveys: Estonia: 2009
OECD Factbook 2007: Economic, Environmental and Social Statistics [With Women & Men in OECD Countries Booklet]
Economic Development In Palanpur Over Five Decades
Soviet Media in Transition: Structural and Economic Alternatives
Supply Chain & Logistics 2007
Now managers are realizing the need of cost & time effectiveness in multistage processes involved in SCM.How important is this movement in India? Seeing the momentum of SCM filtering into India & spreading over the broad business landscape, The Economic Times Research Division, to initiate research in this area, presents the finding of their study in the area of SCM.
During the course of study, research team met over 100 companies-both amongst solution providers and manufacturers. Therefore, whether you are a service provider, a, manufacturer or someone from the financial sector, SCM and logistics is one area you have to watch out for.
So may we recommend that you start with this book!
(less)OECD Economic Surveys: Brazil 2009
Dealing with Shocks
Prospects for 2005 indicate a slowdown in economic growth in ESCAP region as the external environment weakens, but the region is expected to continue to be the fastest-growing in the world. The rapid ageing of countries which are still developing is the most important feature of demographic transition in the next half century in Asia and Pacific.
Governments are increasingly under pressure not only to devise innovative mechanisms to deal with an ageing population but also to ensure the long term viability of social welfare programmes, while minimizing the negative effects on the economy. The diversity of ageing in the region requires different policy responses, including fundamental changes in policy design, particularly in health and pension systems.
The year 2005 was designated as the International year of Microcredit with the objective of promoting the role of microfinance and microcredit in poverty reduction. The Survey highlights some Asia-Pacific experiences to illustrate how many of the poor people living in the region could improve their lives through their own efforts
(less)Agricultural Policies In Emerging Economies 2009: Monitoring And Evaluation
Energy Balances Of Oecd Countries: 2005-2006
Development Perspectives
New Challenges for Educational Research (Knowledge Management)
Les imp??ts sur les salaires 2007 : ??tude sp??ciale : R??formes fiscales et pressions fiscales: Edition 2007 (French Edition)
The Economic Consequences of the Peace
He is one of the fathers of modern theoretical macroeconomics. John Maynard Keynes has contributed to The Economic Consequences of the Peace as an author.
John Maynard Keynes (1883-1946) was an economist, mathematician, civil servant, educator, journalist, and a world-renowned author. His two great works, A Treatise on Money and The General Theory of Unemployment, Interest, and Money, revolutionized the study and practice of economics and changed monetary policy after World War II.
John Maynard Keynes, 1st Baron Keynes CB (pronounced /'ke?nz/ "cains") (5 June 1883 21 April 1946) was a British economist whose ideas, called Keynesian economics, had a major impact on modern economic and political theory as well as on many governments' fiscal policies. He advocated interventionist government policy, by which the government would use fiscal and monetary measures to mitigate the adverse effects of economic recessions, depressions and booms.
He is one of the fathers of modern theoretical macroeconomics. John Maynard Keynes has contributed to The Economic Consequences of the Peace as an author.
John Maynard Keynes (1883-1946) was an economist, mathematician, civil servant, educator, journalist, and a world-renowned author. His two great works, A Treatise on Money and The General Theory of Unemployment, Interest, and Money, revolutionized the study and practice of economics and changed monetary policy after World War II.
Deliverable Countries : This product ships to John Maynard Keynes, 1st Baron Keynes CB (pronounced /'ke?nz/ "cains") (5 June 1883 21 April 1946) was a British economist whose ideas, called Keynesian economics, had a major impact on modern economic and political theory as well as on many governments' fiscal policies. He advocated interventionist government policy, by which the government would use fiscal and monetary measures to mitigate the adverse effects of economic recessions, depressions and booms.
He is one of the fathers of modern theoretical macroeconomics. John Maynard Keynes has contributed to The Economic Consequences of the Peace as an author.
John Maynard Keynes (1883-1946) was an economist, mathematician, civil servant, educator, journalist, and a world-renowned author. His two great works, A Treatise on Money and The General Theory of Unemployment, Interest, and Money, revolutionized the study and practice of economics and changed monetary policy after World War II.
Deliverable Countries : This product ships to
(less)Global Economic and Financial Crisis : Essays from Economic and Political Weekly
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