Download all “Finance ” books in one ZIP-file
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Portfolio Theory & Financial Analyses
This book and Exercises evaluate Modern Portfolio Theory (Markowitz, CAPM, MM and APT) for future study.
Money Creation: An Introduction
One of the great mysteries and elegant features of the financial system in general, and of the banking sector in particular, is the creation of new money.
Strategic Financial Management
In a world of geo-political, social and economic uncertainty, Strategic Financial Management is under pressure.
Construction Financial Management
This is a textbook on financial management written in simple English for undergraduate students who study construction related programmes.
Investments: An Introduction
This introductory book covers the lifestyle choices faced by the individual over his/her life, and the nuts and bolts and principles of investments.
Banking: An Introduction
This book presents an introduction to private sector banking (as opposed to central banking).
Corporate Governance and International Business
It is clearly accepted that good governance is fundamental to the successfully continuing operating of any organisation.
Analysis and Linear Algebra for Finance: Part I
This book and its companion (part II) present the elements of analysis and linear algebra used in financial models and in microeconomics.
Financial System: An Introduction
This book covers the 6 elements of the financial system: lenders & borrowers; financial intermediaries, markets, and instruments; money creation; and price discovery.
This book provides a comprehensive overview of the most important topics covered in a corporate finance course.
Foreign Exchange Market: An Introduction
In this book all aspects of the forex market are covered: organisational structure, cross rates, spreads, quotation conventions, role and other relevant issues.
Central Banking & Monetary Policy: An Introduction
This book presents an introduction to central banking and monetary policy.
Strategic Financial Management: Exercises
By following the same structure as the companion text, this book of exercises and solutions tests your knowledge of Strategic Financial Management.
Money Market: An Introduction
The money market has traditionally been defined as the market for short-term marketable debt instruments, such as commercial paper (CP) and treasury bills (TBs). It is much more than this.
Working Capital and Strategic Debtor Management
This free book critically evaluates working capital management and the strategic marketing function of credit terms within a theoretical context of wealth maximisation and empirical research.
Equity Market: An Introduction
This book covers all aspects of the equity market including its context, instruments, investors, primary & secondary markets, and valuation.
Derivative Markets: An Introduction
Forwards, futures, swaps, options, hybrids (such as swaptions and options on futures) and a category “other” (credit derivatives, weather derivatives, etc) make up the derivative markets.
The aim of this textbook is to provide a step-by-step guide to financial econometrics using EViews 6.
Portfolio Theory & Financial Analyses: Exercises
This Exercise book and theory text evaluate Modern Portfolio Theory (Markowitz, CAPM and APT) for future study.
Interest Rates: An Introduction
Interest rates are critically important prices in an economy, and they are to a significant extent controlled by the central bank, reflecting monetary policy.
Stochastic Processes for Finance
This book is an extension of “Probability for Finance” to multi-period financial models, either in the discrete or continuous-time framework.
Bond Market: An Introduction
This book covers all aspects of the bond market including its context, issuers & investors, organisation, instruments, maths, and tools.
Corporate Valuation and Takeover
This free book critically evaluates corporate equity valuation in today’s volatile markets using asset values, earnings, dividend policy, cash flow analysis and behavioural theory.
Working Capital and Debtor Management: Exercises
This free book provides a series of Exercises that support the author’s critique of working capital management and the pivotal role of debtor policy presented in his previous bookboon texts.
Construction Financial Management
This book contains the answers to the Exercise Questions contained in the 3rd edition of the book “Construction Financial Management” published by Bookboon (Denmark) in 2015.
Financial Institutions: An Introduction
Financial “institutions” covers the mainstream financial intermediaries (banks and investment vehicles), the quasi-financial intermediaries, as well as the ancillary financial entities.
Money Creation: Advanced Readings
This is a book of papers which endeavour to dispel the many misleading notions in respect of money creation.
Corporate Valuation and Takeover: Exercises
This free book of Exercises reinforces theoretical applications of stock market analyses as a guide to Corporate Valuation and Takeover and other texts in the bookboon series by Robert Alan Hill.
Probability for Finance
This book provides technical support for students in finance.
Interest Rates in Financial Analysis and Valuation
This book provides a compendium of selected important topics covered in any finance course.
Business Cycles and Financial Crises
This book critically reviews literature on business cycles and financial crises.
Troubles with the break-even analysis? In this article you will find all the answers.
Fundamentals of Monetary Policy in the Euro Area
This book aims at shedding more light at central banks and monetary policy, with a particular focus at the euro area.
Analysis and Linear Algebra for Finance: Part II
This book and its companion (part I) present the elements of analysis and linear algebra used in financial models and in microeconomics.
The World of Modigliani and Miller
This text presents a body of work by two Nobel Prize economists, Franco Modigliani and Merton H. Miller, who came to prominence in the 1950s and have dominated the world of finance ever since.
International Financial Reporting
How to read an annual report under the ’International Financial Reporting Standards’ (IFRS) provisions?
Financial Decision-making & Investor Behaviour
This book provides a thorough introduction of behavioural finance, investor behaviour and financial decision-making including a historical review of some of the most important financial bubbles throug
Personal Finance in Today’s Complex World
This book is written to help you negotiate the often tricky world of personal finance.
Money and Monetary Policy in an Open Economy
Finance sector decisions have a decisive impact on well-being. The authors present approaches to monetary management in both closed and open economies that highlight major policy dilemmas.