"A fresh, insightful look at how real estate professionals actually value properties and analyze markets. The focus on different product types as well as market segments are especially useful." -- Barry Hersh, AICP, Associate Professor of Real Estate and Urban Planning, City University of New York
Market Leader Upper Intermediate New Edition features new authentic reading texts and listening material containing interviews with business experts. It provides students with the professional communication and language skills necessary for a wide range of business situations such as presentations, networking, handling difficult situations, and active listening. Full Teacher's Book with the resource bank added Thanks to Edwardb
Standard texts and research in economics and finance ignore the absence of evidence from the analysis of real, unmassaged market data to support the notion of Adam Smith's stabilizing Invisible Hand. In stark contrast, this text introduces a new empirically-based model of financial market dynamics that explains the volatility of prices options correctly and clarifies the instability of financial markets. The emphasis is on understanding how real markets behave, not how they hypothetically 'should' behave.
This book provides a cutting edge introduction to market risk management for Hedge Funds, Hedge Funds of Funds, and the numerous new indices and clones launching coming to market on a near daily basis. It will present the fundamentals of quantitative risk measures by analysing the range of Value-at-Risk (VaR) models used today, addressing the robustness of each model, and looking at new risk measures available to more effectively manage risk in a hedge fund portfolio.
-The Market Leader Practice File Book is the perfect way to extend your business English course. The book has extra grammar practice and a complete syllabus of business writing. The audio CD provides extensive pronunciation work.