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This edition introduces students to current investment issues that are the concerns of all investors. Our book arms students with the skills to conduct a sophisticated assessment of current issues and debates covered by both the popular media and more specialized finance journals. Whether they plan to become an investment professional or simply a sophisticated individual investor, they will find these skills essential. In an effort to link theory to practice, many features of this text are designed to be consistent with and relevant to the CFA curriculum, including end-of-chapter problems from past CFA exams.
Language: English
ISBN-10: 007133887X
ISBN-13: 978-0071338875
ISBN-13: 9780071338875
Author: Zvi Bodie, Alex Kane, Alan J. Marcus, Stylianos Perrakis, Peter Ryan
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Table of Content:
Part 1 Introduction
Chapter 1 The Investment Environment
Chapter 2 Financial Markets and Instruments
Chapter 3 Trading on Securities Markets
Part 2 Portfolio Theory
Chapter 4 Return and Risk: Analyzing the Historical Record
Chapter 5 Capital Allocation to Risky Assets
Chapter 6 Optimal Risky Portfolios
Part 3 Equilibrium in Capital Markets
Chapter 7 The Capital Asset Pricing Model
Chapter 8 Index Models and the Arbitrage Pricing Theory
Chapter 9 Market Efficiency
Chapter 10 Behavioural Finance and Technical Analysis
Chapter 11 Empirical Evidence on Security Returns
Part 4 Fixed-Income Securities
Chapter 12 Bond Prices and Yields
Chapter 13 The Term Structure of Interest Rates
Chapter 14 Managing Bond Portfolios
Part 5 Equities
Chapter 15 Macroeconomic and Industry Analysis
Chapter 16 Equity Evaluation Models
Chapter 17 Financial Statement Analysis
Part 6 Derivative Assets
Chapter 18 Options and Other Derivatives Markets: Introduction
Chapter 19 Option Valuation
Chapter 20 Futures, Forwards, and Swap Markets
Part 7 Active Portfolio Management
Chapter 21 Active Management and Performance Measurement
Chapter 22 Portfolio Management Techniques
Chapter 23 Managed Funds
Chapter 24 International Investing
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