Among all the presented books, I have some favorites, which I will briefly point out here:

Jarrow, Robert A. & Chatterjea, Arkadev (2013) 
An Introduction to Derivative Securities, Financial Markets, and Risk Management 


Corporate Finance

  • Berk, Jonathan & DeMarzo, Peter (2013): Corporate Finance, Pearson.
  • Hillier, David & Ross, Stephen A. (2013): Corporate Finance, McGraw-Hill.


  • Haug, Espen Gaarder (2007): The Complete Guide to Option Pricing Formulas, McGraw-Hill.
  • Hull, John C. (2011): Options, Futures, and Other Derivatives, Pearson.


  • Bodie, Zvi; Kane, Alex; & Marcus, Alan J. (2014): Investments, McGraw-Hill.

Fixed Income

  • Tuckman, Bruce & Serrat, Angel (2012): Fixed Income Securities — Tools for Today’s Markets, Wiley Finance Series.

Portfolio Management

Quantitative Finance

  • Wilmott, Paul (2006): Paul Wilmott on Quantitative Finance (3 Volumes), Wiley.

Risk Management

  • Hull, John C. (2012): Risk Management and Financial Institutions, Wiley.

Technische Analyse

  • Murphy, John J. (2006): Technische Analyse der Finanzmärkte, FinanzBuch Verlag.