26 Mortgage Management For Dummies Eric Tyson & Robert S. Griswold An accessible guide to getting the mortgage you need and managing it the right way Borrowing through a mortgage is a huge decision and being debt free is the ultimate gift you can give to yourself, and your family. Mortgage Management For Dummies helps you understand your options and how to secure the best and lowest cost mortgage for your situation. The book helps you polish your credit report and score, and choose the right borrowing option for your home as well as other real estate you might own. And whether you select a 15 or 30 year mortgage, this reliable resource will help you understand your options for paying it off much faster — and potentially saving tremendously. • Provides proven tips and action steps to pay-off your mortgage sooner than you may have planned • Discusses the different types of mortgages available and how to choose among them • Offers valuable insights on mortgage rates, refinancing, prepayment penalties, and much more Print ISBN: 978-1-119-38779-4 | Paper | €20.90 | Jul 2017 | 336PP About the Authors Eric Tyson, MBA, is a financial counselor and the author of bestselling For Dummies books including Investing For Dummies, Personal Finance For Dummies, and Investing in Your 20s and 30s For Dummies. Robert S. Griswold, MSBA, is a successful real estate investor, hands-on property manager with a large portfolio of residential and commercial properties, and the author of Property Management Kit For Dummies and co-author of Landlord’s Legal Kit For Dummies. A Practitioner’s Guide to Asset Allocation William Kinlaw, Mark P. Kritzman, David Turkington & Harry M. Markowitz Insights from industry experts, who address key changes to asset allocation and dispel common misconceptions The mission of A Practitioner’s Guide to Asset Allocation is twofold: to describe several important innovations that address key challenges to asset allocation and to dispel certain fallacies about asset allocation. Section I of the book covers the fundamentals of asset allocation, Section II presents certain fallacies about asset allocation which the authors attempt to dispel either by logic or with evidence. Section III discusses recent innovations, while the final section (IV) provides supplementary material. Series: Wiley Finance Print ISBN: 978-1-119-39780-9 | Cloth | €41.90 | Jun 2017 | 272PP A Practical Guide to Analytics for Governments Using Big Data for Good Marie Lowman Series: Wiley and SAS Business Series 978-1-119-36282-1 | Cloth €51.90 | Jul 2017 | 208PP Derivatives R. Stafford Johnson Series: Bloomberg Financial 978-1-118-20269-2 | Cloth €105.00 | Sep 2017 | 400PP
Wiley New Books July - August - September 2017 VCH Version
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