Description |
1 volume (various pagings) : illustrations ; 26 cm |
Series |
The McGraw-Hill/Irwin series in finance, insurance, and real estate |
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McGraw-Hill/Irwin series in finance, insurance, and real estate.
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Contents |
Part One. Elements of investments: 1. Investments: background and issues; 2. Global financial instruments; 3. How securities are traded; 4. Mutual funds and other investment companies -- Part Two. Portfolio Theory: 5. Risk and return: past and prologue; 6. Efficient diversification; 7. Capital asset price and arbitrage Pricing Theory; 8. The efficient market hypothesis -- Part Three. Debt securities: 9. Bond prices and yields; 10. Managing bond portfolios -- Part four. Security analysis: 11. Macroeconomic and industry analysis; 12. Equity valuation; 13. Financial statement analysis -- Part Five. Derivative markets: 14. Options markets; 15. Option valuation; 16. Futures markets -- Part Six. Active Investment Management: 17. Investors and the investment process; 18. Taxes, inflation, and investment strategy; 19. Behavioral finance and technical analysis; 20. Performance evaluation and active portfolio management; 21. International investing |
Bibliography |
Includes bibliographical references (pages 756-762) and index |
Subject |
Investments.
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Author |
Marcus, Alan J.
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|
Kane, Alex
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LC no. |
2002033771 |
ISBN |
0072510773 alkaline paper |
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0072855584 : |
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007123229X international edition 2003 |
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