Investments
Author: Bodie, Zvi ; Kane, Alex ; Marcus, Alan J.Publisher: McGraw-Hill, 2009.Edition: 8th ed.Language: EnglishDescription: 990p. + annexes : Graphs ; 25 cm.ISBN: 9780071263252Type of document: BookNote: Doriot: for 2013-2014 coursesItem type | Current location | Collection | Call number | Status | Date due | Barcode | Item holds |
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Asia Campus Textbook Collection |
HG4521 .B63 2009
(Browse shelf) 900221965 |
Available | 900221965 | |||
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Asia Campus Textbook Collection |
HG4521 .B63 2009
(Browse shelf) 900189033 |
Available | 900189033 | |||
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Asia Campus Textbook Collection |
HG4521 .B63 2009
(Browse shelf) 900189040 |
Available | 900189040 | |||
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Europe Campus Main Collection |
HG4521 .B63 2009
(Browse shelf) 32419001219215 |
Available | 32419001219215 | |||
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Europe Campus Main Collection |
HG4521 .B63 2009
(Browse shelf) 32419001219223 |
Available | 32419001219223 | |||
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Europe Campus Main Collection |
HG4521 .B63 2009
(Browse shelf) 32419001196751 |
Available | 32419001196751 | |||
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Europe Campus Main Collection |
HG4521 .B63 2009
(Browse shelf) 32419001196793 |
Available | 32419001196793 | |||
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Europe Campus Main Collection |
HG4521 .B63 2009
(Browse shelf) 32419001219249 |
Available | 32419001219249 | |||
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Middle East Campus Main Collection |
HG4521 .B63 2009
(Browse shelf) 500000975 |
Available | 500000975 |
Doriot: for 2013-2014 courses
Digitized
Investments Investments A " ' INTRODUCT*ION 1 The Investment Environment 1 I E U LB I M Q J I RU IN CAPITAL MARKETS 279 9 The Capital Asset Pricing Model 2 Asset Classes and Financial Instruments 279 23 3 How Securities Are Traded 54 10 Arbitrage Pricing Theory and Multifactor Models of Risk and Return 3 19 4 Mutual Funds and Other lnvestment Companies 88 11 The Efficient Market Hypothesis 344 12 Behavioral Finance and Technical Analysis 384 PORTFOLIO THEORY A N D PRACTICE 13 1 5 Learning about Return and Risk from the Historical Record 1 13 13 Empirical Evidence on Security Returns 410 6 Risk Aversion and Capital Allocation to Risky Assets 156 FIXED-INCOME SECURITIES 445 14 Bond Prices and Yields 445 7 Optimal Risky Portfolios 15 194 The Term Structure of Interest Rates 484 8 Index Models 244 16 Managing Bond Portfolios 5 12 -SECURITY ANALYSIS 553 17 18 Equity Valuation Models 586 Macroeconomic and Industry Analysis 553 APPLIED PORTFOLIO MANAGEMENT 823 24 Portfolio Performance Evaluation 823 25 International Diversification 867 19 Financial Statement Analysis 63 1 26 Hedge Funds 902 I I OPTIONS, FUTURES, A N D OTHER DERIVATLVES 671 20 Options Markets: Introduction 671 I 27 The Theory of Active Portfolio Management 924 28 Investment Policy and the Framework of the CFA Institute 950 REFERENCES TO CFA PROBLEMS 989 GLOSSARY G-1 NAME INDEX IND-1 21 Option Valuation 7 15 22 Futures Markets 759 SUBJECT INDEX IND-4 23 Futures, Swaps, and Risk Management 788
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