Investments / Zvi Bodie, Alex Kane, Alan J. Marcus.
Material type: TextLanguage: English Series: The Irwin series in financePublication details: Chicago : Irwin, c1996. Edition: 3rd edDescription: 1 v. (various pagings) : col. ill. ; 24 cmISBN: 0256146381; 9780256146387Subject(s): Investments | Portfolio managementDDC classification: 332.632 LOC classification: HG4521 | .B564 1996Online resources: WorldCat details | E-book Full-textItem type | Current library | Collection | Call number | Copy number | Status | Date due | Barcode | Item holds |
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E-Book | Dr. S. R. Lasker Library, EWU E-book | Non-fiction | 332.632 BOI 1996 (Browse shelf(Opens below)) | Not for loan | ||||
Text | Dr. S. R. Lasker Library, EWU Reserve Section | Non-fiction | 332.632 BOI 1996 (Browse shelf(Opens below)) | C-1 | Not For Loan | 7385 | ||
Text | Dr. S. R. Lasker Library, EWU Circulation Section | Non-fiction | 332.632 BOI 1996 (Browse shelf(Opens below)) | C-2 | Available | 7386 |
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332.6 MIE 2008 Efficient asset management : | 332.60724 INT 1987 Theory of financial decision making / | 332.63 PAF 2010 Fundamentals of financial instruments : | 332.632 BOI 1996 Investments / | 332.632 INV 2011 Investments / | 332.632042 PEF 2004 Financial statement analysis and security valuation / | 332.642421 MIL 1999 The London Stock Exchange : |
Includes bibliographical references and indexes.
TOC The Investment Environment --
Markets and Instruments --
How Securities Are Traded --
Mutual Funds and Other Investment Companies --
History of Interest Rates and Risk Premiums --
Portfolio Theory --
Risk and Risk Aversion --
Capital Allocation between the Risky Asset and the Risk-Free Asset --
Optimal Risky Portfolios --
Equilibrium in Capital Markets --
The Capital Asset Pricing Model --
Single-Index and Multifactor Models --
Arbitrage Pricing Theory --
Market Efficiency --
Empirical Evidence on Security Returns --
Fixed-Income Securities --
Bond Prices and Yields --
The Term Structure of Interest Rates --
Managing Bond Portfolios --
Security Analysis --
Macroeconomic and Industry Analysis --
Equity Valuation Models --
Financial Statement Analysis --
Options, Futures, and Other Derivatives --
Options Markets: Introduction --
Option Valuation --
Futures Markets --
Futures and Swaps: A Closer Look --
Active Portfolio Management --
Portfolio Performance Evaluation --
International Diversification --
The Process of Portfolio Management --
The Theory of Active Portfolio Management --
Quantitative Review --
CFA Citations.
BA
Sagar Shahanawaz
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