Description |
xxix, 569 pages : illustrations ; 25 cm |
Contents |
Pt. I. The market environment and securities. 1. Introduction. 2. Bonds, stocks and other financial securities. 3. Security markets -- Pt. II. Risk and return. 4. The past: return, risk and risk premium - definitions, measurement and the historical record. 5. The future: return, risk, risk aversion, risk premium and asset prices. 6. Risk reduction by diversification -- Pt. III. Bonds and stocks. 7. Interest rates and bond valuation. 8. Bonds: analysis and management. 9. Common stocks: valuation. 10. Common stocks: selection. 11. Market and industry analysis -- Pt. IV. Derivatives. 12. Forward and futures contracts. 13. Options: basic concepts and strategies -- Pt. V. Risk reduction and diversification. 14. Risk and return: the linear relationships and the capital asset pricing model. 15. International investment -- Pt. VI. Market efficiency, mutual funds and technical analysis. 16. Efficient markets: theory and evidence. 17. Investment companies and mutual funds. 18. Technical analysis |
Bibliography |
Includes bibliographical references and index |
Subject |
Securities.
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Investments.
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LC no. |
2002024294 |
ISBN |
0273651692 alkaline paper |
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