| Title : | Investments | | Material Type: | printed text | | Authors: | Alex Kane, Author ; Zvi Bodie, Author ; Alan J. Marcus, Author | | Edition statement: | 8th ed. | | Publisher: | Boston, MA : McGraw-Hill Irwin | | Publication Date: | 2009 | | Series: | McGraw-Hill/Irwin series in finance, insurance and real estate | | Pagination: | xxvii, 990 p., G14 p., I21 p. | | Layout: | ill. (some col.) | | Size: | 27 cm | | ISBN (or other code): | 978-0-07-127828-7 | | General note: | Investments, 8th edition, by Bodie, Kane, and Marcus keeps the best blend of practical and theoretical coverage while incorporating new and important topics in the world of investments. | | Class number: | 332.6 | | Abstract: | This text continues the tradition of an appropriate rigor and clear writing style for the MBA investments student. The unifying theme that security markets are nearly efficient, meaning that most securities are usually priced appropriately given their risk and return attributes, is continued in the 8th edition. | | Contents note: | Part I Introduction
1. The Investment Environment; 2. Asset Classes and Financial Instruments; 3. How Securities Are Traded; 4. Mutual Funds and Other Investment Companies
Part II Portfolio Theory and Practice
5. Learning about Return and Risk from the Historical Record; 6. Risk Aversion and Capital Allocation to Risky Assets; 7. Optimal Risky Portfolios; 8. Index Models
Part III Equilibrium in Capital Markets
9. The Capital Asset Pricing Model; 10. Arbitrage Pricing Theory and Multifactor Models of Risk and Return; 11. The Efficient Market Hypothesis; 12. Behavioral Finance and Technical Analysis; 13. Empirical Evidence on Security Returns
Part IV Fixed-Income Securities
14. Bond Prices and Yields; 15. The Term Structure of Interest Rates; 16. Managing Bond Portfolios
Part V Security Analysis
17. Macroeconomic and Industry Analysis; 18. Equity Valuation Models; 19. Financial Statement Analysis
Part VI Options, Futures, and Other Derivatives
20. Options Markets: Introduction; 21. Option Valuation; 22. Futures Markets; 23. Futures, Swaps, and Risk Management
Part VII Applied Portfolio Management
24. Portfolio Performance Evaluation; 25. International Diversification; 26. Hedge Funds; 27. The Theory of Active Portfolio Management; 28. Investment Policy and the Framework of the CFA Institute
References to CFA Problems; Glossary; Name Index; Subject Index. |
Investments [printed text] / Alex Kane, Author ; Zvi Bodie, Author ; Alan J. Marcus, Author . - 8th ed. . - Boston, MA : McGraw-Hill Irwin, 2009 . - xxvii, 990 p., G14 p., I21 p. : ill. (some col.) ; 27 cm. - ( McGraw-Hill/Irwin series in finance, insurance and real estate) . ISBN : 978-0-07-127828-7 Investments, 8th edition, by Bodie, Kane, and Marcus keeps the best blend of practical and theoretical coverage while incorporating new and important topics in the world of investments. | Class number: | 332.6 | | Abstract: | This text continues the tradition of an appropriate rigor and clear writing style for the MBA investments student. The unifying theme that security markets are nearly efficient, meaning that most securities are usually priced appropriately given their risk and return attributes, is continued in the 8th edition. | | Contents note: | Part I Introduction
1. The Investment Environment; 2. Asset Classes and Financial Instruments; 3. How Securities Are Traded; 4. Mutual Funds and Other Investment Companies
Part II Portfolio Theory and Practice
5. Learning about Return and Risk from the Historical Record; 6. Risk Aversion and Capital Allocation to Risky Assets; 7. Optimal Risky Portfolios; 8. Index Models
Part III Equilibrium in Capital Markets
9. The Capital Asset Pricing Model; 10. Arbitrage Pricing Theory and Multifactor Models of Risk and Return; 11. The Efficient Market Hypothesis; 12. Behavioral Finance and Technical Analysis; 13. Empirical Evidence on Security Returns
Part IV Fixed-Income Securities
14. Bond Prices and Yields; 15. The Term Structure of Interest Rates; 16. Managing Bond Portfolios
Part V Security Analysis
17. Macroeconomic and Industry Analysis; 18. Equity Valuation Models; 19. Financial Statement Analysis
Part VI Options, Futures, and Other Derivatives
20. Options Markets: Introduction; 21. Option Valuation; 22. Futures Markets; 23. Futures, Swaps, and Risk Management
Part VII Applied Portfolio Management
24. Portfolio Performance Evaluation; 25. International Diversification; 26. Hedge Funds; 27. The Theory of Active Portfolio Management; 28. Investment Policy and the Framework of the CFA Institute
References to CFA Problems; Glossary; Name Index; Subject Index. |
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