64 Best Books on Finance

We have compiled a list of the Best Reference Books on Finance, which are used by students of top universities, and colleges. This will help you choose the right book depending on if you are a beginner or an expert. Here is the complete list of Finance Books with their authors, publishers, and an unbiased review of them as well as links to the Amazon website to directly purchase them. If permissible, you can also download the free PDF books on Finance below.

1. Financial Modeling

 
1."Financial Analysis and Modeling using Excel and VBA" by Chandan Sengupta
Book Review: The updated version of “Financial Analysis and Modeling Using Excel and VBA” book presents a thorough and practical methodology for financial analysis and modeling using Excel 2007 and VBA, as well as previous versions. It covers key financial concepts and theories, offering a hands-on approach to addressing real-world financial issues and building models that can be adapted for professional and academic applications. The book comes with a CD-ROM featuring modeling tools and operational versions of all the models discussed in the text.

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2."Excel Worksheets and Solutions to Exercises to Accompany Financial Modeling, Fourth Edition, Access Code" by Simon Benninga
“Excel Worksheets and Solutions to Exercises to Accompany Financial Modeling” Book Review: This book is an excellent companion to Simon Benninga’s textbook “Financial Modeling.” This book provides Excel worksheets and solutions to end-of-chapter exercises for the fourth edition. The topics covered in the main textbook include financial statements, financial modeling and analysis, bonds, stocks, options, portfolio theory, and risk management. The access code included in this book provides convenient access to supplementary materials, making it an invaluable resource for students, instructors, and practitioners in finance.

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3."Building Financial Models with Microsoft Excel: A Guide for Business Professionals" by K Scott Proctor
“Building Financial Models with Microsoft Excel” Book Review: This book offers a practical guide to building financial models using Microsoft Excel, making it accessible to beginners or intermediate level computer users. Unlike other technical financial modeling books that require knowledge of VBA (Visual Basic for Applications), this book provides step-by-step instructions on how to build financial models using Excel. The included CD-ROM contains sample Excel worksheets to guide the reader through the process. “Building Financial Models with Microsoft Excel” is a comprehensive guide to building financial models using Excel, the most popular spreadsheet program available.

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4."Financial Modeling and Valuation: A Practical Guide to Investment Banking and Private Equity (Wiley Finance)" by Paul Pignataro
“Financial Modeling and Valuation” Book Review: This book guides readers in constructing a full-scale financial model and valuation through a step-by-step approach. It uses downloadable Wall Street models and provides illustrative concepts to aid in conceptual understanding. The book covers valuation techniques commonly used by Wall Street professionals, including comparable company analysis, precedent transactions analysis, and discounted cash flow analysis. It also includes practice models, additional case studies, and common interview questions on the companion website. This resource is perfect for beginners or professionals seeking to hone their skills in financial modeling and valuation.

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5."Mastering Financial Modelling in Microsoft Excel: A practitioner's guide to applied corporate finance" by Day
“Mastering Financial Modelling in Microsoft Excel” Book Review: This book provides a comprehensive guide for managers to extend their decision-making capabilities by mastering the use of financial models. With practical examples and a companion CD, this ultimate book and disk combination helps finance professionals and business students become proficient in building Microsoft Excel models and applying corporate finance concepts. It’s a valuable resource for executives looking to enhance their financial modeling skills and make more informed decisions.

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6."Financial Modeling" by Simon Benninga
“Financial Modeling” Book Review: The highly anticipated fourth edition of “Financial Modeling” continues to offer its trademark “cookbook” approach and reliance on Excel, which have made it a hit with readers. As before, the book covers basic and advanced models in corporate finance, portfolio management, options, and bonds, with detailed Excel spreadsheets. The book also includes sections on the technical aspects of Excel and the use of Visual Basic for Applications (VBA). The latest edition includes new features such as a section on Monte Carlo methods for portfolio management and exotic option valuation and a new chapter on term structure modeling. Additionally, there is a new, simple model for corporate valuation based on accounting data and a minimal number of valuation parameters. New copies of the book now come with a unique access code on a card attached to the inside back cover.

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7."Credit Risk Analytics: Measurement Techniques, Applications, and Examples in SAS" by Bart Baesens and Daniel Roesch
“Credit Risk Analytics” Book Review: This comprehensive guide to credit risk analytics starts with an introduction to SAS programming, covering data steps, models, statistical computation, and data pre-processing. The book provides a level of expertise that aligns risk management theory with the latest coding practices. With its in-depth coverage, Credit Risk Analytics is an essential resource for professionals in the commercial banking industry who need to analyze the credit risk of loans and portfolios. Whether you need to explicitly program and code or extract information from data, this book is a valuable reference to have at your fingertips.

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8."Financial Modeling in Excel For Dummies" by Danielle Stein Fairhurst
“Financial Modeling in Excel For Dummies” Book Review: This book offers guidance on utilizing Excel to perform various financial tasks such as profitability analysis, budgeting, depreciation modeling, cost projection, and asset valuation. The author provides clear and concise instructions that are easy to follow even for beginners. The book emphasizes six essential rules for creating an effective financial model and explains how to review and adjust inherited financial models. It covers scenarios analysis, which helps to solve client issues, identify market trends, and create business strategies. Additionally, the book teaches how to develop customized financial models using Excel’s built-in tools. Whether for small businesses or large corporations, Financial Modeling in Excel For Dummies provides a practical and cost-effective solution for financial analysis.

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9."The Mathematics of Financial Modeling and Investment Management" by Sergio M Focardi and Frank J Fabozzi
“The Mathematics of Financial Modeling and Investment Management” Book Review: The book is a comprehensive resource that covers a wide range of technical topics in mathematics and finance. It is designed to enable investment management practitioners, researchers, and students to understand fully the process of financial decision-making and its economic foundations. The book covers key mathematical techniques such as matrix algebra, calculus, ordinary differential equations, probability theory, stochastic calculus, time series analysis, and optimization. It also shows how these techniques are successfully implemented in modern finance. The book emphasizes new mathematical tools that allow for a deeper understanding of financial econometrics and financial economics. It covers a variety of useful financial applications, including arbitrage pricing, interest rate modeling, derivative pricing, credit risk modeling, equity and bond portfolio management, risk management, and more. With in-depth insight and expert advice, this book clearly ties together financial theory and mathematical techniques.

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10."Pro Excel Financial Modeling: Building Models for Technology Startups" by Tom Sawyer
“Pro Excel Financial Modeling: Building Models for Technology Startups” Book Review: This book teaches you how to create effective financial models using Microsoft Excel and apply business thinking to your modeling approach. Contrary to popular belief, investors often come up with their own projections and instead seek to understand the assumptions and structure of a startup’s financial model. By demonstrating a complete understanding of the business side of the enterprise through financial modeling, entrepreneurs can satisfy investor curiosity and gain funding. Pro Excel Financial Modeling guides you through the process with a step-by-step approach, extensive case studies, and Excel templates for practice.

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2. Corporate Finance

 
1."Principles of Corporate Finance" by Richard Brealey and Stewart Myers
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2."Corporate Finance" by Jaffe and Westerfield
“Corporate Finance” Book Review: This comprehensive book is designed for Finance students and provides a thorough understanding of the basics of Finance through various examples. It maintains a proper balance between theory and application, covering topics such as Agent Theory, Efficient markets, net present value, and the trade-off between risk and return. The book includes contemporary information on RBI, SEBI, BSE, Reliance Industry, Tata Steel, and Infosys to enhance comprehension. Additionally, the book offers added features and resources to facilitate better understanding of the subject.

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3."Corporate Finance Theory and Practice" by Aswath Damodaran
“Corporate Finance Theory and Practice” Book Review: The textbook is designed for the Corporate Finance course at the MBA level and is also suitable for undergraduate students at higher level schools. It covers the Introduction to Corporate Finance, including its objectives, and delves into concepts such as The Time Value of Money, Financial Statements, and an overview of Value and Price. The book provides approximate estimates of Hurdle Rates for Firms and Projects, discusses Investment Decision Rules, Investments in Cash and Marketable Securities, Returns, and Corporate Strategy. It also offers in-depth information on the Financing Process, Analyzing Cash Returned to Stockholders, and Value Enhancements, along with tools and techniques.

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4."Applied Corporate Finance" by Aswath Damodaran
“Applied Corporate Finance” Book Review: The book offers Finance Professionals practical guidance on Corporate Finance rather than debating theory. It begins by addressing the Objectives in Decision Making, basics of Risk, Risk Management, and Hurdle Rates in Practice. It classifies Business Decisions into three groups – investment, financing, and dividend decisions – for easy understanding. The book also covers the impact of banking crises on future operations. It provides updated information on risk-free rates and risk premiums to offer insights into the latest crises. The book offers intensive knowledge on Risk Measurement and Hurdle Rates, Measuring Return on Investments, Overview of Financing Decisions and Capital Structures, Optimal Financial Mix, and the Financing Details.

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5."Fundamentals of Corporate Finance" by Bradford Jordan and Stephen Ross
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6."International Corporate Finance" by Indian Institute of Banking and Finance
“International Corporate Finance” Book Review: The book is an invaluable resource for those seeking to understand Corporate Finance. It provides readers with insights into the intricate nuances of global financial markets, covering important aspects such as Banking, Financial Requirements of Corporates, and general principles of borrowing and lending. With a special emphasis on International Corporate Finance, regulatory issues, and the workings of the global capital market, the book also delves into topics like Investment Analysis, maximizing shareholder value, Leveraged Layouts, consumption of fixed capital, growth stock, and efficient market hypothesis.

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7."Corporate Finance: Theory and Practice" by S R Vishwanath
“Corporate Finance: Theory and Practice” Book Review: This book emphasizes the role of Finance in supporting other business functions and creating value through effective decision-making. It provides a comprehensive understanding of how firms make financial decisions and their impact on shareholder value. Each chapter includes practical case studies to help students easily grasp concepts. The book covers special topics such as Divisional Cost of Capital Estimation, Execution of Financial Strategy, Establishment of Debt and Dividend policies, which are consistent with the company’s strategy and environment. It also covers various new topics, including Project Finance, Corporate Financial Flexibility, Acquisitions and Control, Performance Measurement and Incentive Compensation.

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8."Project and Infrastructure Finance: Corporate Banking Perspective" by Vikas Srivastava and V Rajaraman
“Project and Infrastructure Finance: Corporate Banking Perspective” Book Review: This comprehensive textbook is tailored for management students studying Finance. It provides in-depth details of the elements and risks associated with project finance in the Indian markets and banks. The book also aids students in studying the structuring, appraisal, documentation, risk management, follow-up, and arrangement of project finance bank loans. It delves into the components and complexities of project finance, accompanied by case studies that challenge readers’ managerial skills in handling diverse financial situations. Additionally, the book includes RBI Guidelines pertaining to debt restructuring, management of distressed assets, and other relevant aspects.

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9."Principles of Corporate Finance Law" by Ferran and Chan Ho
“Principles of Corporate Finance Law” Book Review: The book provides insight into how corporations deal with financial limitations that impact their investment choices. By integrating corporate law, capital market regulation, and commercial law, the book offers a comprehensive overview of the legal and regulatory aspects associated with corporate financial transactions. The legal outlook, fundamental components of corporate financing structures, and capital markets are also explored. Additionally, the book delves into how legal mechanisms influence corporate finance and the evolution of financial markets.

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10."Damodaran on Valuation: Security Analysis for Investment and Corporate Finance" by Aswath Damodaran
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11."Determinants of Financial Development" by Yongfu Huang
“Determinants of Financial Development” Book Review: This book examines the factors that influence financial development in various countries. The book explores the role of economic growth, institutional quality, political stability, and other factors in shaping financial development. It also discusses the impact of financial development on economic growth and income distribution. Chapters cover a range of topics, including financial liberalization, financial crises, and the relationship between financial development and poverty reduction. The book provides a comprehensive overview of the determinants and consequences of financial development.

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3. Behavioural Finance

 
1."Behavioural Finance" by Shuchita Singh and Shilpa Bahi
“Behavioural Finance” Book Review: This book delves into the field of Behavioural Finance, which is a modern and emerging area in finance. It is designed to address the increasing occurrences of anomalies in financial markets and teaches the theories and concepts put forward by researchers and practitioners. The book also highlights the role of Behavioural Finance in economic downturns. In addition, it provides “Do You Know” boxes with facts, abbreviations, and model test papers for in-depth learning. The latest information and expert views in this field are also included in the book.

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2."Behavioural Finance" by William Forbes
“Behavioural Finance” Book Review: The book explores how a behavioural approach to financial decision making can add value to traditional finance. The author presents modelling strategies that are familiar to those trained in economics. It provides a summary of a rapidly growing field of research and reflects the emergence of new ideas that may disrupt the discipline. Topics such as Discounting and Discounted Utility Model, the 1929 Stock Market Crash, asset pricing including noise traders, overconfidence and optimism, asset pricing under Prospect Theory, momentum, Insider Trading, and Corporate Finance are discussed in detail.

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3."Thinking, Fast and Slow" by Daniel Kahneman
“Thinking, Fast and Slow” Book Review: This book aims to assist readers in making better decisions in their personal and professional lives by developing slow, rational thinking rather than relying solely on fast, intuitive thinking. Through examples, the author illustrates the wonders and pitfalls of conscious and unconscious thinking. The book presents the author’s understanding of judgment shaped by recent psychological discoveries, and encourages readers to improve their ability to identify and understand choice errors in themselves and others. It provides an accurate diagnosis to mitigate the damage caused by poor decision making.

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4."Behavioural Finance" by Chandra
“Behavioural Finance” Book Review: In this book, the first part delves into the concept of Neoclassical Finance and its challenge from Behavioural Finance. The Rational Markets Hypothesis supports this discussion, while the Foundations of Rational Finance, such as Expected Utility Theory, Modern Portfolio theory, and Agency theory, are thoroughly explored. Additionally, the book covers the foundations of Behavioural Finance, including heuristics and biases, self-deception, Prospect Theory, Emotional factors, and Social Forces. The Market Outcomes chapter highlights the significance of the Equity Premium Puzzle. Furthermore, the book includes a considerable portion dedicated to Behavioural Corporate Finance. To aid in-depth learning, Solved Problems and Discussion Questions are also provided.

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5."Value Investing and Behavioral Finance" by Suyash Bhatt
“Value Investing and Behavioral Finance” Book Review: This comprehensive guide is designedd for investors seeking to select stocks for investment. It explains the reasons behind market behavior and how some individuals take advantage of market inefficiencies through buying low and selling high. The book also highlights common errors made by practitioners of Behavioural Finance. Value Investing, a defensive investment strategy, is thoroughly explained, and the author illustrates how Value Investing and Behavioural Finance are interconnected.

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6."Understanding Behavioral Finance" by Lucy Ackert
“Understanding Behavioral Finance” Book Review: This book presents a structured and pragmatic approach to the field of Behavioural Finance, with a particular emphasis on the psychological principles that underlie it. It delves into how human behavior affects the decision-making process of investors and practitioners, as well as how social forces can shape one’s choices. The book also explores the implications of Behavioural Finance on various aspects such as retirements, pensions, education, and more. Additionally, it provides a comprehensive analysis of money management in the context of behavioral investing.

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7."Behavioral Finance" by Kadir C Yalcin
“Behavioral Finance” Book Review: In this book, the concept of Behavioural Finance is thoroughly discussed, focusing on the psychological aspects of financial decision making. It sheds light on how heuristics and biases can impact decision making, with evidence indicating that males tend to exhibit more biases than females. Furthermore, it demonstrates that mental accounting, representativeness, and cognitive dissonance tend to increase with higher education levels, while the idea of control and ambiguity aversion shows an inverse correlation. The book’s main objective is to understand how investors behave when making financial decisions, and it presents experimental results that highlight the prevalence of biases and cognitive disabilities among investors.

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8."Behavioural Technical Analysis: An introduction to behavioural finance and its role in technical analysis" by Paul V Azzopardi
“Behavioural Technical Analysis: An introduction to behavioural finance and its role in technical analysis” Book Review: This book is intended for traders seeking a comprehensive understanding of the fundamental concepts of Behavioural Finance and its role in technical analysis. It offers an introduction to the six main areas of Behavioural Finance and delves into its detailed implications on three key technical analysis techniques, namely the study of extremes, study of trends, and support and resistance. By analyzing observed technical patterns, the book aims to develop effective investment strategies. It covers various critical subfields of Behavioural Finance, including complexity, human perception, self-perception, risk aversion, social and crowd impact, and gender.

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9."The Foundations of Behavioral Economic Analysis" by Sanjit Dhami
“The Foundations of Behavioral Economic Analysis” Book Review: This book presents a modern approach to the study of Behavioural Economics, covering all aspects from the foundational psychological principles to the latest advances in the field. It seamlessly integrates theory with empirical evidence from experiments and includes recent subtopics such as behavioural welfare economics and neuroeconomics. The book provides a balanced discussion of the philosophical and methodological differences and similarities between behavioural and neoclassical approaches to microeconomics. It also synthesizes numerous experimental findings, theoretical insights, and real-world applications from various fields of behavioral research.

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10."Behavioral Finance: Psychology, Decision-Making, and Markets" by Lucy Ackert and Richard Deaves
“Behavioral Finance: Psychology, Decision-Making, and Markets” Book Review: This book offers a systematic and practical approach to understanding Behavioural Finance, with a strong emphasis on the psychological principles that drive it. It explores how human behavior influences the decision-making process of investors and practitioners, as well as the impact of social forces on decision making. Topics covered include Conventional Finance, Prospect Theory, Market Efficiency, Investor Behavior, Social Forces, and Behavioral explanations for anomalies. The book also provides insights into retirement saving behavior and strategies for improving DC pensions, making it a valuable resource for readers interested in understanding the practical implications of Behavioural Finance.

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4. Financial Institutions and Markets

 
1."Financial Institutions and Markets" by Bhole
“Financial Institutions and Markets” Book Review: This book presents readers with a comprehensive understanding of the functioning of both banking and non-banking institutions, as well as the short-term and long-term financial instruments and services markets. It gives significant emphasis to recent financial reforms, providing updates on the most current developments, changes, and trends in the financial industry, particularly in India. Salient features of this edition include restructured and revised chapters incorporating the latest theoretical concepts and data, discussions on major issues in the Indian financial system, and an analysis of demonetization and its impact in India.

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2."Financial Markets and Institutions" by Frederic S Mishkin and Stanley Eakins
“Financial Markets and Institutions” Book Review: The textbook by Frederic S. Mishkin and Stanley G. Eakins provides students with a practical introduction to the evolving landscape of financial markets and institutions. The authors use a unifying framework to organize the core principles of financial markets, then demonstrate real-world scenarios from a practitioner’s perspective to help students develop critical thinking and problem-solving skills for their future careers. Despite undergoing major revisions, the eighth edition maintains the hallmark pedagogy that has made it a bestseller. Key features include Chapter Previews, Numerical Examples, Summary Tables, Key Statements, Graphs with Captions, Summaries, Key Terms, and End-of-Chapter Questions to help students apply economic concepts and develop a deeper understanding of the subject matter. The text emphasizes critical thinking skills and provides practical insights that make it an essential resource for students of financial markets and institutions.

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3."Financial Markets Institutions and Financial Services" by Dr Vinod Kumar/Atul Gupta /Manmeet Kaur
“Financial Markets Institutions and Financial Services” Book Review: This comprehensive textbook is primarily designed to cover the syllabus for B.Com (Hons) Sem (V) Paper Bch 5.4 (C) DSE Group and CBCS Programme of various Central Universities throughout India. The subject matter is explained in simple and understandable language, making it useful for financial market aspirants. The book covers topics such as Stock Markets, Bond Markets, Insurance, and Commercial Banking, and includes the latest rules and regulations of regulatory bodies like RBI, IRDA, and SEBI. Practical real-life illustrations and cases help readers understand the actual working of Money Markets, Capital Markets, Banking, and Insurance Services Industry, along with various financial services such as Leasing, Hire Purchase, Venture Capital, Credit Rating, and Portfolio Management Services. Summary points at the end of each chapter aid in revision, and difficult concepts are explained with the help of figures, tables, and graphs. The book is also valuable for students of BBA/MBA and other management courses covering papers like Indian Financial System, Financial Services, or Merchant Banking.

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4."Financial Markets, Institutions and Financial Services" by Gomez and Clifford
“Financial Markets, Institutions and Financial Services” Book Review: This book provides a comprehensive overview of financial markets, institutions, and services all within one volume. Divided into three parts, Part I focuses on Financial Markets and covers a range of Indian and global money markets, primary and secondary markets, stock exchanges and their trade mechanisms, foreign exchanges, capital markets, and regulations. Part II, Financial Institutions, explores various banking and non-banking institutions and their relevant legislation. Part III, Financial Services, delves into mutual funds, lease financing, securitisation, credit, and debit cards. With its expansive coverage, this book is a valuable resource for gaining a thorough understanding of the financial industry.

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5."Financial Institutions and Markets" by Jeff Madura
“Financial Institutions and Markets” Book Review: This book helps students learn about financial markets, institutions, and services. It explains why financial markets exist and how financial institutions serve them. It also talks about the different types of securities traded by financial institutions and how they participate in each market. The book focuses on how financial institutions are managed, their performance, and how they are regulated. It discusses the Federal Reserve System, debt and equity security markets, and derivative security markets. The book also covers current financial reform and recent trends in the financial industry. The author, Jeff Madura, writes in a clear and easy-to-understand way and provides examples to help connect concepts to real-life situations. The book also includes hands-on learning activities and a discount for an online trading simulation called Stock-Trak Global Portfolio Simulations Gold Service.

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6."Foundations Of Financial Markets and Institutions" by F Modigliani Frank J Fabozzi
“Foundations Of Financial Markets and Institutions” Book Review: This book is a main textbook for courses that only last one semester and are focused on Financial Institutions and Markets. It covers the major changes happening in these areas, like globalization, innovation, and deregulation. The book emphasizes the actual practices used by financial institutions, investors, and financial instruments.

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7."Financial Markets and Institutions - SIE: An Introduction to the Risk Management Approach" by Anthony Saunders and Marcia Cornett
“Financial Markets and Institutions – SIE: An Introduction to the Risk Management Approach” Book Review: This book provides a special examination of the dangers faced by people who save or invest money through financial markets and institutions, and offers methods for controlling and managing these risks. It includes a modern risk management framework and explores the development of new risks and changes in traditional risks, along with how to measure and manage all of these risks. The book also covers ethics in finance and contains helpful tools to aid in learning, such as Chapter Navigators and end-of-chapter problems at different levels of difficulty.

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8."The Financial System in India: Markets, Instruments, Institutions, Services and Regulations" by Das S C
“The Financial System in India: Markets, Instruments, Institutions, Services and Regulations” Book Review: This book examines various aspects of a formal financial system, including financial institutions, markets, instruments, services, regulations, and authorities in India. It is divided into six parts with a total of 36 chapters. The first part provides an overview of the Indian financial system, economic development, and financial sector reforms. The next three parts analyze different elements of Indian financial markets, instruments, and institutions. The fifth part focuses on financial services, while the last part discusses financial regulations and the role of regulatory authorities. It is a valuable textbook for a course on Indian financial systems.

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9."Financial Institutions and Markets" by Kohn
“Financial Institutions and Markets” Book Review: This book explains banking, insurance, pension funds, and mutual funds in detail. It also covers the general principles of financial markets and provides a closer look at specific markets for government securities, mortgages, corporate debt, equity, and derivatives. The last section discusses the management of liquidity and risk, and the regulation of financial intermediaries and markets. Each chapter has study objectives, a summary, key terms, and end-of-chapter questions for discussion. This second edition by Meir Kohn focuses on the structure of financial institutions and markets and their evolution, with an emphasis on the functions of intermediaries and markets such as government securities, mortgages, corporate debt, equity markets, derivatives, and market microstructure.

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10."Foundations of Financial Markets and Institutions" by Frank J Fabozzi
“Foundations of Financial Markets and Institutions” Book Review: This book provides a complete examination of the world’s financial markets and institutions. It focuses on the real practices of financial institutions, investors, and financial instruments amidst revolutionary developments like innovation, globalization, and deregulation. The fourth edition of Foundations of Financial Markets and Institutions takes into account the significant changes that have occurred recently in financial institutions and markets globally.

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11."Handbook of Research on Strategic Developments and Regulatory Practice in Global Finance (Advances in Finance, Accounting, and Economics)" by Ozlem Olgu and Hasan Dincer
“Handbook of Research on Strategic Developments and Regulatory Practice in Global Finance (Advances in Finance, Accounting, and Economics)” Book Review: This comprehensive guidebook provides valuable insights into establishing a robust global market and financial system. Topics covered include economic growth in modern countries, challenges faced by countries with debt struggles, unemployment, and slow growth. In addition, the book delves into important chapters on financial development and financial crises. With relevance to professionals and students studying in the field of finance, this book offers a wealth of knowledge on building a strong global market and financial system.

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12."Micro Markets: A Market Structure Approach to Microeconomic Analysis (Wiley Finance)" by Robert A Schwartz
“Micro Markets: A Market Structure Approach to Microeconomic Analysis (Wiley Finance)” Book Review: This book bridges the gap between market theory and practical applications, serving as a guide to understanding the basic concepts of microeconomics and their real-world market applications. With practical-based problems for enhanced comprehension, the book also includes practice problems and examples for further engagement. Whether you’re a student or professional, this book provides a valuable resource for connecting market theory with practical application.

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13."Financial Modeling, Actuarial Valuation and Solvency in Insurance" by Mario V Wuthrich and Michael Merz
“Financial Modeling, Actuarial Valuation and Solvency in Insurance” Book Review: This book is focused on the topic of risk management for financial institutions and is mathematically rigorous. It combines ideas from financial mathematics, actuarial sciences, and economic theory to study solvency questions in incomplete markets and analyze hedging risks. The book also covers topics such as asset-and-liability management, limited liability options, dividend to shareholder questions, and the role of reinsurance. The discussion on solvency is given a scientific framework, making it suitable for both researchers and practitioners. Readers are expected to have a basic understanding of probability theory, statistics, popular distributions, stochastic processes, and martingales.

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5. Quantitative Analysis in Finance and Marketing

 
1."Financial Management" by I M Pandey
Book Review: This book presents a contemporary and analytical approach to corporate finance decision-making. With a focus on finance theory and its practical implications, the book covers key topics such as investment, financing, dividend policy, and working capital management. Additionally, it delves into sources and instruments of short-term and long-term finances, mergers and acquisitions, shareholder value creation, balanced scorecard, corporate governance, and corporate policies. Designed for professional and postgraduate courses including MBA, MCom, CA, CFA, ICWA, and more, this book offers a comprehensive resource for understanding modern corporate finance principles.

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2."Management of Company Finance" by G M Samuels and F M Wikes
Book Review: The book provides a comprehensive coverage of corporate finance, encompassing topics such as cash flow, taxation, investment, capital budgeting, and option theory. Shareholders’ roles and share capital are also explored, along with financial planning, cash management, debtors, and inventory. With extensive expertise in capital budgeting technologies and research on investment decision-making, the author brings a wealth of knowledge to the subject matter.

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3."Quantitative Analysis of Financial Decisions" by J C T Mao
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4."Financial Policy Decisions" by Bierman and Harold
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5."Advances in Quantitative Analysis of Finance and Accounting" by Lee Cheng-Few Lee
“Advances in Quantitative Analysis of Finance and Accounting” Book Review: This book explores the latest advancements in quantitative analysis for finance and accounting. It covers a wide range of topics, including corporate finance and debt management, earnings management, equity market, auditing, option pricing theory, and interest rate theory, with detailed descriptions provided in each chapter. Emphasizing the applications and challenges of quantitative methods in financial management, financial accounting, and business management, this book promotes the integration of academic and applied research in the field of finance and accounting.

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6."Quantitative analysis of effect" by Kumar Sanjay Dr
“Quantitative Analysis of Effect” Book Review: This book focuses on microfinance and discusses the advantages of participating in microfinance programs. The benefits are evaluated in terms of daily per-person expenditure (DPPE), DPPE on food, education, food security, and life satisfaction. The data presented in this book was collected between June 2007 and August 2007 from five branches of Thaneakea Phum Cambodia Ltd, a local microfinance institution that primarily serves rural communities in Cambodia. A survey was administered to 310 clients.

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7."Quantitative Analysis in Financial Markets" by Marco Avellaneda
“Quantitative Analysis in Financial Markets” Book Review: This book provides comprehensive information on the emerging science of pricing and hedging derivative securities, and managing financial risk. Featuring articles from prominent researchers and practitioners in the field of quantitative financial modeling, the book covers topics such as option theory, dynamic hedging, interest-rate modeling, portfolio theory, and price forecasting using statistical methods. Based on lectures delivered at the prestigious Seminar in Mathematical Finance at the Courant Institute, this book offers valuable insights for understanding quantitative financial modeling.

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8."Quantitative Analysis, Derivatives Modeling, And Trading Strategies" by Yi Tang and Bin Li
“Quantitative Analysis, Derivatives Modeling, and Trading Strategies” Book Review: This book focuses on practical applications and recent developments in quantitative financial modeling, aiming to combine economic insights with mathematical models to help readers apply theoretical knowledge to real-world scenarios. Topics covered include martingale model factory, martingale resampling and interpolation, counterparty credit risk modeling, pricing, and arbitraging strategies in various financial markets such as credit, equity, foreign exchange, and commodity markets. Additionally, the book describes different trading and structuring strategies in detail.

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9."Quantitative Analysis in Marketing Management" by Luiz Moutinho
“Quantitative Analysis in Marketing Management” Book Review: This book delves into key quantitative concepts and techniques used in contemporary marketing management, drawing inspiration from financial management. It provides a detailed description of result interpretation and illustrates the use of computations and calculations to understand the featured techniques. The book also includes eight case studies and eight analytical problems to demonstrate the application of different quantitative techniques in marketing management.

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10."Optimisation, Econometric and Financial Analysis" by Erricos Kontoghiorghes
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6. Financing Infrastructure Projects

 
1."Financing Patterns for Infrastructure Projects" by Amareshwar Mishra and R K Mishra
“Financing Patterns for Infrastructure Projects” Book Review: This book presents a comprehensive and lucid approach to evaluating infrastructure projects using detailed financial methodologies. It is designed to assist professionals, credit personnel, lead arrangers, students, business schools, banks, and financial institutions in understanding the fundamental principles, applications, implications, concerns, risks, and mitigating strategies involved in assessing infrastructure projects. It is a valuable resource for those involved in various sectors such as roads, transportation, power, ports, airports, oil and gas pipelines, warehousing, urban infrastructure, water and sanitation, and more. The book has received praise for its excellent work from S.C. Gupta, Director of Power Finance Corp. Ltd, and former Director of Canara Bank and UCO Bank.

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2."Financing Infrastructure Projects (Construction Management Series) (Student Paperbacks)" by Tony Merna and Cyrus Njiru
“Financing Infrastructure Projects” Book Review: This book discusses various topics related to infrastructure project financing. It covers project finance as a tool, public finance, financial instruments, restructuring, financial markets, procurement strategies like BOOT, and challenges and opportunities in developing countries. The role of financial institutions, privatization, risk management, insurance, and bonding are also discussed. Two case studies on toll bridge projects and financial risk management using engineering techniques are included.

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3."Review of Risk Mitigation Instruments for Infrastructure: Financing and Recent Trends and Development (Trends and Policy Options)" by Tomoko Matsukawa and Odo Habeck
“Review of Risk Mitigation Instruments for Infrastructure” Book Review: This book provides a comprehensive overview of risk mitigation instruments for financing infrastructure projects in developing countries, with a focus on those offered by multilateral and bilateral official agencies. It covers different types of risk mitigation instruments, characteristics of providers of such instruments, recent developments and innovative applications through case transactions, and challenges in utilizing risk mitigation instruments as catalysts for infrastructure development. This book is relevant to readers working in business and finance, law and regulation, and infrastructure projects and finance.

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4."Project Finance in Theory and Practice: Designing, Structuring, and Financing Private and Public Projects" by Stefano Gatti
“Project Finance in Theory and Practice” Book Review: The second edition of this book offers comprehensive coverage of project finance in Europe and North America. It includes new case studies, pedagogical supplements such as end-of-chapter questions and answers, and insights into recent market trends. Alexander S. Moczarski, President and Chief Executive Officer of Guy Carpenter – Marsh & McLennan Group, describes it as a valuable training and best practices guide. Jean Pierre Mustier, UniCredit Deputy General Manager and Head of CIB Division, recommends it as a must-read and reference book for professionals and practitioners, praising its practical concepts and relevant case studies in explaining project financing.

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5."Contract Management and Financing of Infrastructure Projects" by Xcess Board of Editors
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6."Attracting Investors to African Public-private Partnerships: A Project Preparation Guide" by PPIAF and Infrastructure Consortium for Africa
“Attracting Investors to African Public-private Partnerships: A Project Preparation Guide” Book Review: The book offers a comprehensive assessment of key issues related to project selection, preparation, and management in the context of public-private partnerships (PPP). It provides guidance on hiring and managing expert advisers, fostering effective interaction between the public and private sectors during project selection and preparation, and addressing engagement with the private sector during the tender and contract phases. This guide is specifically aimed at African public sector officials and donor institution staff involved in infrastructure projects and services through PPPs. By providing the right information, on the right projects, for the right partners, at the right time, this book aims to enhance the chances of developing effective PPPs and attracting private sector investment in Africa.

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7."Infrastructure Investing: Managing Risks and Rewards for Pensions, Insurance Companies and Endowments (Wiley Finance)" by Rajeev J Sawant
“Infrastructure Investing” Book Review: This book discusses the potential for infrastructure assets to become a major area of growth in investing globally. The author, Rajeev Sawant, has analyzed infrastructure investments, funds, and project financing programs for five years and provides valuable information for lenders, pension funds, insurance companies, investment funds, rating agencies, and governments. The book includes comprehensive data analysis on infrastructure projects worldwide, and identifies both opportunities and pitfalls in infrastructure investing. It specifically focuses on the needs of pensions, insurance companies, and endowments interested in infrastructure investing. With the expectation that economic growth, increased employment, and investment returns will come from infrastructure projects in the next decade, this book provides a valuable resource for understanding the unique risks and rewards associated with this dynamic asset class.

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8."Private Financing of Infrastructure Projects in a Developing Country" by Reuben Okai
“Private Financing of Infrastructure Projects in a Developing Country” Book Review: This book talks about how infrastructure projects in the public sector are being financed differently than they used to be. There’s a new way called the Private Finance Initiative (PFI) that’s becoming more popular. But some developing countries haven’t used the PFI because their economies don’t make it attractive to private companies. The book talks about a plan to use the PFI to build schools in Ghana. It gives advice to people who work on infrastructure projects in developing countries, like government officials and construction companies. The book explains how to use the PFI to build public infrastructure in developing countries.

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9."Fundamentals of Water Finance" by Michael Curley
“Fundamentals of Water Finance” Book Review: This book is about providing high-quality water services at the lowest possible cost and how to handle finance issues that system managers face. It covers different financing options such as grants, loans, municipal bonds, tariffs/rates, and subsidies. It also includes information on government finance programs and offers tools for managers to come up with innovative financial strategies to make their systems more efficient. This updated version is an easy-to-read guide for financing water and wastewater projects and evaluating the most appropriate options. It’s a useful resource for anyone in the water industry who wants to learn more about water project finance.

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10."Project Financing for Infrastructures" by Kuen Keith Ma
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We have put a lot of effort into researching the best books on Finance and came out with a recommended list and their reviews. If any more book needs to be added to this list, please email us. We are working on free pdf downloads for books on Finance and will publish the download link here. Fill out this Finance books pdf download" request form for download notification.

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Manish Bhojasia - Founder & CTO at Sanfoundry
Manish Bhojasia, a technology veteran with 20+ years @ Cisco & Wipro, is Founder and CTO at Sanfoundry. He lives in Bangalore, and focuses on development of Linux Kernel, SAN Technologies, Advanced C, Data Structures & Alogrithms. Stay connected with him at LinkedIn.

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