Investment analysis and portfolio management / Frank K. Reilly, Keith C. Brown.

By: Reilly, Frank K [author]
Contributor(s): Brown, Keith C [author]
Series: The Dryden Press series in financePublisher: Fort Worth : Dryden Press, c1997Edition: Fifth editionDescription: xxxi, 1090 pages : color illustrations; 26 cmContent type: text Media type: unmediated Carrier type: volumeISBN: 0030186838Subject(s): Investments | Investment analysis | Portfolio managementDDC classification: 332.6 LOC classification: HG4521 | .R396 1997
Contents:
Part I: The Investment Background. The Investment Setting. The Asset Allocation Decision. Selecting Investments in a Global Market. Organization and Functioning of Securities Markets. Security Market Indicator Series. Sources of Information on Global Investments. Part II: Developments in Investment Theory. Efficient Capital Markets. An Introduction to Portfolio Management. An Introduction to Asset Pricing Models. Extensions and Testing of Asset Pricing Models. An Introduction to Derivative Markets and Securities. Part III: Valuation Principles and Practices. Analysis of Financial Statements. Introduction to Security Valuation. The Analysis of Alternative Economies and Security Markets: The Global Asset Allocation Decision. Part VI: Analysis and Management of Bonds. Bond Funamentals. The Valuation of Bonds. Bond Portfolio Management Strategies. Part V: Analysis and Management of Common Stock. Stock Market Analysis. Industry Analysis. Company and Stock Analysis. Technical Analysis. Equity Portfolio Management Strategies. Part VI: Derivative Security Analysis. Forwards and Futures Contracts. Option Contracts. Swap Contracts, Convertible Securities, And Other Embedded Derivatives. Part VII: Analysis of Alternative Assets and Portfolio Performance. Investment Companies. Evaluation of Portfolio Performance.
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Item type Current location Home library Call number Status Date due Barcode Item holds
BOOK BOOK COLLEGE LIBRARY
COLLEGE LIBRARY
SUBJECT REFERENCE
332.6 R362 1997 (Browse shelf) Available CL-23420
Total holds: 0

Includes bibliographical references and indexes.

Part I: The Investment Background. The Investment Setting. The Asset Allocation Decision. Selecting Investments in a Global Market. Organization and Functioning of Securities Markets. Security Market Indicator Series. Sources of Information on Global Investments. Part II: Developments in Investment Theory. Efficient Capital Markets. An Introduction to Portfolio Management. An Introduction to Asset Pricing Models. Extensions and Testing of Asset Pricing Models. An Introduction to Derivative Markets and Securities. Part III: Valuation Principles and Practices. Analysis of Financial Statements. Introduction to Security Valuation. The Analysis of Alternative Economies and Security Markets: The Global Asset Allocation Decision. Part VI: Analysis and Management of Bonds. Bond Funamentals. The Valuation of Bonds. Bond Portfolio Management Strategies. Part V: Analysis and Management of Common Stock. Stock Market Analysis. Industry Analysis. Company and Stock Analysis. Technical Analysis. Equity Portfolio Management Strategies. Part VI: Derivative Security Analysis. Forwards and Futures Contracts. Option Contracts. Swap Contracts, Convertible Securities, And Other Embedded Derivatives. Part VII: Analysis of Alternative Assets and Portfolio Performance. Investment Companies. Evaluation of Portfolio Performance.

300-399

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