Management of investments

書誌事項

Management of investments

Jack Clark Francis

(McGraw-Hill series in finance)

McGraw-Hill, c1993

3rd ed

大学図書館所蔵 件 / 8

この図書・雑誌をさがす

注記

Includes bibliographical references and indexes

内容説明・目次

内容説明

This successful investments title has been rewritten for ease and clarity, and is designed to serve as an undergraduate text for courses in investments and finance. This updated edition includes major new investment products and the recent behaviour of financial markets. Theory chapters are now grouped at the end of the book. The international nature of investing is discussed in a number of chapters, and the divergent nature of stock markets in 23 countries is compared and contrasted. The "Portfolio Analysis" and "Capital Market Theory" chapters remain comprehensive and there is a unique chapter on taxes and law. Also available are an instructor's manual / test bank (0-07-021819-6); student software - IBM 5.25" Lotus-driven (0-07-833110-2); and computerized test banks in IBM 5.25" (0-07-833111-0) and IBM 3.5" (0-07-833112-9) versions.

目次

  • Part 1: The characteristics of securities: risk and return
  • debt securities
  • equity and asset-backed securities. Part 2: The market place: security markets
  • security markets indexes
  • regulation of the securities markets
  • taxes. Part 3: Introduction to financial analysis: sources of financial information
  • analysis of financial statements
  • the interest-rate risk factor
  • the default risk factor
  • bond selection. Part 5: Investing in stocks: common stock analysis
  • earnings analysis. Part 6: Other risk factors: the market risk factor
  • the purchasing power risk factor and the industry risk factor
  • the management risk factor and other risk factors. Part 7: Pulling things together and making decisions with APT: making buy-sell decisions
  • arbitrage pricing theory (APT). Part 8 The behaviour of stock prices
  • technical analysis
  • choosing between technical analysis or fundamental analysis. Part 9: Other investments: options, warrants and convertibles
  • futures contracts
  • investing in real assets. Part 10: Portfolio management: capital market theory
  • international diversification
  • investments performance evaluation.

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詳細情報

  • NII書誌ID(NCID)
    BA20245831
  • ISBN
    • 0070218188
  • LCCN
    92023156
  • 出版国コード
    us
  • タイトル言語コード
    eng
  • 本文言語コード
    eng
  • 出版地
    New York
  • ページ数/冊数
    1 v. (various pagings)
  • 大きさ
    25 cm
  • 分類
  • 件名
  • 親書誌ID
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