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Investments /

by Bodie, Zvi; Kane, Alex; Marcus, Alan J.
Material type: materialTypeLabelBookSeries: McGraw-Hill/Irwin series in finance, insurance, and real estate: Publisher: Boston, Mass. : McGraw-Hill Irwin, ©2005Edition: 6th ed.Description: xxx, 1,090 p : ill ; 26 cm.ISBN: 0072861789; 9780072861785; 007293414X; 9780072934144.Subject(s): Investments | Portfolio management
Contents:
CONTENTS The investment environment -- Financial instruments -- How securities are traded -- Mutual funds and other investment companies -- Portfolio theory -- History of interest rates and risk premiums -- 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 -- Index models -- Arbitrage pricing theory and multifactor models of risk and return -- Market efficiency and behavioral finance -- 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
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Item type Current location Call number Copy number Status Notes Date due Barcode
Books Books KAMPALA UNIVERSITY NURSING SCHOOL
General Section
HG4521.B564 2005 (Browse shelf) 1 Available item available in hard copy 2025-5567
Browsing KAMPALA UNIVERSITY NURSING SCHOOL Shelves , Shelving location: General Section Close shelf browser
HG4026 .B6694 2004 Intermediate financial management / HG4026 .H496 2012 Analysis for financial management / HG4026 .M678 1998 Contemporary financial management / HG4521.B564 2005 Investments / HG4521 .R396 2000 Investment analysis and portfolio management / HG8051 .R44 2011 Principles of risk management and insurance / HM51 .D773 1973 Sociology: the study of human interaction/

A variety of multi-media instructional aids are available to supplement the text

Includes bibliographical references and indexes

CONTENTS

The investment environment -- Financial instruments -- How securities are traded -- Mutual funds and other investment companies -- Portfolio theory -- History of interest rates and risk premiums -- 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 -- Index models -- Arbitrage pricing theory and multifactor models of risk and return -- Market efficiency and behavioral finance -- 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

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