Schaum's outline of theory and problems of investments

書誌事項

Schaum's outline of theory and problems of investments

Jack Clark Francis, Richard W. Taylor

(Schaum's outline series)

McGraw-Hill, c2000

2nd ed.

タイトル別名

Theory and problems of investments

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注記

Includes index

内容説明・目次

内容説明

Master investments with "Schaum's" - the high-performance study guide. It will help you cut study time, hone problem-solving skills, and achieve your personal best on exams! Students love "Schaum's Outlines" because they produce results. Each year, hundreds of thousands of students improve their test scores and final grades with these indispensable study guides. Get the edge on your classmates. Use "Schaum's"!If you don't have a lot of time but want to excel in class, this book helps you: brush up before tests; find answers fast; study quickly and more effectively; get the big picture without poring over lengthy textbooks. Inside, you will find: 396 solved problems, including step-by-step solutions; hundreds of additional practice problems, with answers supplied; clear explanations of all major topics covered in investment courses, including common stock valuation, portfolio analysis, and international investing; easy-to-understand coverage of put and call options, futures, arbitrage pricing theory. The content is organized for compatibility with college and university investment courses. If you want top grades and thorough understanding of investments, this powerful study tool is the best tutor you can have!

目次

Chapter 1: Money Market Securities. Chapter 2: Common and Preferred Stock. Chapter 3: Corporate Bonds. Chapter 4: The Time Value of Money. Chapter 5: U.S.Treasury, Agency and Related Bonds. Chapter 6: Municipal Bonds. Chapter 7: Issuing and Trading Securities. Chapter 8: Secondary Security Markets. Chapter 9: Federal Investments Regulations. Chapter 10: Security Market Indexes. Chapter 11: Analysis of Financial Statements. Chapter 12: Short Positions, Hedging, and Arbitrage. Chapter 13: Total Risk and Risk Factors. Chapter 14: Bond Valuation. Chapter 15: Bond Portfolio Management. Chapter 16: Common Stock Valuation. Chapter 17: Technical Analysis. Chapter 18: Efficient Markets Theory. Chapter 19: Futures. Chapter 20: Put and Call Options I. Chapter 21: Put and Call Options II. Chapter 22: Portfolio Analysis. Chapter 23: Capital Market Theory. Chapter 24: Arbitrage Pricing Theory (APT). Chapter 25: Portfolio Performance Evaluation. Chapter 26: International Investing. Appendices: A: Present Value of $1. B: Future Value of $1. C: Present Value of an Annuity of $1. D: Future Value of an Anuity fo $1.

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詳細情報

  • NII書誌ID(NCID)
    BA47565425
  • ISBN
    • 0071348492
  • LCCN
    99054052
  • 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
    xi, 330 p.
  • 大きさ
    28 cm
  • 分類
  • 親書誌ID
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