FUNDAMENTAL OF INVESTMENTS
Alexander, Gordon J
FUNDAMENTAL OF INVESTMENTS - 3rd - New Delhi PHI Pub. 2008 - 781p.
1. Introduction
2. Buying and Selling Securities
3. Security Markets
4. Efficient Markets, Investment Value, and Market Price
5. The Valuation of Riskless Securities
6. The Portfolio Selection Problem
7. Portfolio Analysis
8. Riskfree Borrowing and Lending
9. The Capital Asset Pricing Model
10. Factor Models
11. Arbitrage Pricing Theory
12. Taxes and Inflation
13. Fixed-Income Securities
14. Bond Analysis
15. Bond Portfolio Management
16. Common Stocks
17. The Valuation of Common Stocks
18. Earnings
19. Options
20. Futures
21. Investment Companies
22. Financial Management
23. Investment Analysis
24. Portfolio Performance Evaluation
25. International Investing
9788120321267
1. Introduction 2. Buying and Selling Securities 3. Security Markets 4. Efficient Markets, Investment Value, and Market Price 5. The Valuation of Riskless Securities 6. The Portfolio Selection Problem 7. Portfolio Analysis 8. Riskfree Borrowing and Lending 9. The Capital Asset Pricing Model 10. Factor Models 11. Arbitrage Pricing Theory 12. Taxes and Inflation 13. Fixed-Income Securities 14. Bond Analysis 15. Bond Portfolio Management 16. Common Stocks 17. The Valuation of Common Stocks 18. Earnings 19. Options 20. Futures 21. Investment Companies 22. Financial Management 23. Investment Analysis 24. Portfolio Performance Evaluation 25. International Investing
332.6 ALE-F
FUNDAMENTAL OF INVESTMENTS - 3rd - New Delhi PHI Pub. 2008 - 781p.
1. Introduction
2. Buying and Selling Securities
3. Security Markets
4. Efficient Markets, Investment Value, and Market Price
5. The Valuation of Riskless Securities
6. The Portfolio Selection Problem
7. Portfolio Analysis
8. Riskfree Borrowing and Lending
9. The Capital Asset Pricing Model
10. Factor Models
11. Arbitrage Pricing Theory
12. Taxes and Inflation
13. Fixed-Income Securities
14. Bond Analysis
15. Bond Portfolio Management
16. Common Stocks
17. The Valuation of Common Stocks
18. Earnings
19. Options
20. Futures
21. Investment Companies
22. Financial Management
23. Investment Analysis
24. Portfolio Performance Evaluation
25. International Investing
9788120321267
1. Introduction 2. Buying and Selling Securities 3. Security Markets 4. Efficient Markets, Investment Value, and Market Price 5. The Valuation of Riskless Securities 6. The Portfolio Selection Problem 7. Portfolio Analysis 8. Riskfree Borrowing and Lending 9. The Capital Asset Pricing Model 10. Factor Models 11. Arbitrage Pricing Theory 12. Taxes and Inflation 13. Fixed-Income Securities 14. Bond Analysis 15. Bond Portfolio Management 16. Common Stocks 17. The Valuation of Common Stocks 18. Earnings 19. Options 20. Futures 21. Investment Companies 22. Financial Management 23. Investment Analysis 24. Portfolio Performance Evaluation 25. International Investing
332.6 ALE-F