Fundamentals of Investments: Valuation and Management ISE
Autor Bradford Jordan, Thomas Miller, Steve Dolvinen Limba Engleză Paperback – 30 mar 2023
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Specificații
ISBN-13: 9781266273131
ISBN-10: 1266273131
Pagini: 792
Dimensiuni: 218 x 277 x 28 mm
Greutate: 1.41 kg
Ediția:10
Editura: McGraw Hill Education
Colecția McGraw-Hill
Locul publicării:United States
ISBN-10: 1266273131
Pagini: 792
Dimensiuni: 218 x 277 x 28 mm
Greutate: 1.41 kg
Ediția:10
Editura: McGraw Hill Education
Colecția McGraw-Hill
Locul publicării:United States
Cuprins
PART ONE: INTRODUCTION
Chapter 1: A Brief History of Risk and Return
Chapter 2: The Investment Process
Chapter 3: Overview of Security Types
Chapter 4: Mutual Funds, ETFs, and Other Investment Companies
PART TWO: STOCK MARKETS
Chapter 5: The Stock Market
Chapter 6: Common Stock Valuation
Chapter 7: Stock Price Behavior and Market Efficiency
Chapter 8: Behavioral Finance and the Psychology of Investing
PART THREE: INTEREST RATES AND BOND VALUATION
Chapter 9: Interest Rates
Chapter 10: Bond Prices and Yields
PART FOUR: PORTFOLIO MANAGEMENT
Chapter 11: Diversification and Risky Asset Allocation
Chapter 12: Return, Risk, and the Security Market Line
Chapter 13: Performance Evaluation and Risk Management
PART FIVE: FUTURES AND OPTIONS
Chapter 14: Mutual Funds, ETS, and Other Fund Types
Chapter 15: Stock Options
Chapter 16: Option Valuation
PART SIX: TOPICS IN INVESTMENTS
Chapter 17: Alternative Investments
Chapter 18: Corporate and Government Bonds
Chapter 19: Projecting Cash Flow and Earnings
Chapter 20: Global Economic Activity and Industry Analysis
Chapter 21 (online): Mortgage-Backed Securities
Chapter 1: A Brief History of Risk and Return
Chapter 2: The Investment Process
Chapter 3: Overview of Security Types
Chapter 4: Mutual Funds, ETFs, and Other Investment Companies
PART TWO: STOCK MARKETS
Chapter 5: The Stock Market
Chapter 6: Common Stock Valuation
Chapter 7: Stock Price Behavior and Market Efficiency
Chapter 8: Behavioral Finance and the Psychology of Investing
PART THREE: INTEREST RATES AND BOND VALUATION
Chapter 9: Interest Rates
Chapter 10: Bond Prices and Yields
PART FOUR: PORTFOLIO MANAGEMENT
Chapter 11: Diversification and Risky Asset Allocation
Chapter 12: Return, Risk, and the Security Market Line
Chapter 13: Performance Evaluation and Risk Management
PART FIVE: FUTURES AND OPTIONS
Chapter 14: Mutual Funds, ETS, and Other Fund Types
Chapter 15: Stock Options
Chapter 16: Option Valuation
PART SIX: TOPICS IN INVESTMENTS
Chapter 17: Alternative Investments
Chapter 18: Corporate and Government Bonds
Chapter 19: Projecting Cash Flow and Earnings
Chapter 20: Global Economic Activity and Industry Analysis
Chapter 21 (online): Mortgage-Backed Securities