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Analysis of Investments and Management of Portfolios, de Brown, Keith C, 9780324658422, CIENCIAS SOCIALES, management, Cengage Learning, Inglés

Analysis of Investments and Management of Portfolios,

Brown, Keith C

EAN9780324658422

TématicaCiencias sociales

SubtématicaManagement

EditorialCengage Learning

IdiomaInglés

FormatoRústica   Año de publicación2008

Páginas1.072

 
Combining solid theory with practical application, ANALYSIS OF INVESTMENTS AND MANAGEMENT OF PORTFOLIOS, 9e, International Edition, helps students learn how to manage their money to derive the maximum benefit from what they earn--now and in the future. It combines investment instruments and capital markets with theoretical detail on evaluating investments and opportunities to satisfy risk-return objectives. It also emphasizes how investment practice and theory are influenced by globalization. Thorough yet succinct, the ninth edition includes new coverage of such hot topics as behavioral finance, hedge funds, codes of ethics, and more. It is packed with real-world illustrations and hands-on applications, while Thomson ONE Business School equips students with an online, one-stop shop to do financial analysis and research. Intended to be rigorous and empirical--yet not overly quantitative--ANALYSIS OF INVESTMENTS AND MANAGEMENT OF PORTFOLIOS, 9e, International Edition, provides the best foundation and is used extensively by professionals, organizations, and schools across the country.
Part 1: THE INVESTMENT BACKGROUND.
1. The Investment Setting.
2. The Asset Allocation Decision.
3. Selecting Investments in a Global Market.
4. Organization and Functioning of Securities Markets.
5. Security Market Indexes.
Part 2: DEVELOPMENTS IN INVESTMENT THEORY.
6. Efficient Capital Markets.
7. An Introduction to Portfolio Management.
8. An Introduction to Asset Pricing Models.
9. Multifactor Models of Risk and Return.
Part 3: VALUATION PRINCIPLES AND PRACTICES.
10. Analysis of Financial Statements.
11. An Introduction to Security Valuation.
Part 4: ANALYSIS AND MANAGEMENT OF COMMON STOCKS 400.
12. Macroanalysis and Microvaluation of the Stock Market.
13. Industry Analysis.
14. Company Analysis and Stock Valuation.
15. Technical Analysis.
16. Equity Portfolio Management Strategies.
Part 5: ANALYSIS AND MANAGEMENT OF BONDS.
17. Bond Fundamentals.
18. The Analysis and Valuation of Bonds.
19. Bond Portfolio Management Strategies.
Part 6: DERIVATIVE SECURITY ANALYSIS.
20. An Introduction to Derivative Markets and Securities.
21. Forward and Futures Contracts.
22. Option Contracts.
23. Swap Contracts, Convertible Securities, and Other Embedded Derivatives.
Part 7: SPECIFICATION AND EVALUATION OF ASSET MANAGEMENT.
24. Professional Money Management, Alternative Assets, and Industry Ethics.
25. Evaluation of Portfolio Performance.

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