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Investment Analysis and Portfolio Management; - 9780324289039, hardcover, Reilly

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Item specifics

Condition
Good: A book that has been read but is in good condition. Very minimal damage to the cover including ...
Book Title
Investment Analysis and Portfolio Management; - 9780324289039, ha
Artist
Reilly, Frank K.; Brown, Keith C.
ISBN
9780324289039

About this product

Product Identifiers

Publisher
Cengage South-Western
ISBN-10
0324289030
ISBN-13
9780324289039
eBay Product ID (ePID)
45408086

Product Key Features

Number of Pages
1206 Pages
Language
English
Publication Name
Investment Analysis and Portfolio Management
Subject
Investments & Securities / Portfolio Management, Finance / General, General, Investments & Securities / General
Publication Year
2005
Type
Textbook
Author
Keith C. Brown, Frank K. Reilly
Subject Area
Business & Economics
Format
Hardcover

Dimensions

Item Height
1.9 in
Item Weight
80.2 Oz
Item Length
10.3 in
Item Width
8.2 in

Additional Product Features

Edition Number
8
Intended Audience
College Audience
LCCN
2005-932104
Dewey Edition
22
Illustrated
Yes
Dewey Decimal
332.6
Table Of Content
Part 1: THE INVESTMENT BACKGROUND. Chapter 1. The Investment Setting. Chapter 2. The Asset Allocation Decision. Chapter 3. Selecting Investments in a Global Market. Chapter 4. Organization and Functioning of Securities Markets. Chapter 5. Security Market Indicator Series. Part 2: DEVELOPMENTS IN INVESTMENT THEORY. Chapter 6. Efficient Capital Markets. Chapter 7. An Introduction to Portfolio Management. Chapter 8. An Introduction to Asset Pricing Models. Chapter 9. Multifactor Models of Risk and Return. Part 3: VALUATION PRINCIPLES AND PRACTICES. Chapter 10. Analysis of Financial Statements. Chapter 11. An Introduction to Security Valuation. Part 4: ANALYSIS AND MANAGEMENT OF COMMON STOCKS 400. Chapter 12. Macroanalysis and Microvaluation of the Stock Market. Chapter 13. Industry Analysis. Chapter 14. Company Analysis and Stock Valuation. Chapter 15. Technical Analysis. Chapter 16. Equity Portfolio Management Strategies. Part 5: ANALYSIS AND MANAGEMENT OF BONDS. Chapter 17. Bond Fundamentals. Chapter 18. The Analysis and Valuation of Bonds. Chapter 19. Bond Portfolio Management Strategies. Part 6: DERIVATIVE SECURITY ANALYSIS. Chapter 20. An Introduction to Derivative Markets and Securities. Chapter 21. Forward and Futures Contracts. Chapter 22. Option Contracts. Chapter 23. Swap Contracts, Convertible Securities, and Other Embedded Derivatives. Part 7: SPECIFICATION AND EVALUATION OF ASSET MANAGEMENT. Chapter 24. Professional Asset Management. Chapter 25. Evaluation of Portfolio Performance.
Synopsis
The purpose of this text is to help the student learn how to manage their money to derive the maximum benefit from what they earn. Mixing investment instruments and capital markets with the theoretical detail on evaluating investments and opportunities to satisfy risk-return objectives along with how investment practice and theory is influenced by globalization. The material is intended to be rigorous and empirical yet not overly quantitative. Reilly/Brown provides the best foundation, used extensively by professionals, organizations, and schools across the country. A great source for those with both a theoretical and practical need for investment expertise.
LC Classification Number
HG4521.R396 2006

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