Investments
基本信息·出版社:South-Western College Pub ·页码:816 页 ·出版日期:2002年07月 ·ISBN:0030339294 ·International Standard Book Number:0030 ...
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基本信息·出版社:South-Western College Pub
·页码:816 页
·出版日期:2002年07月
·ISBN:0030339294
·International Standard Book Number:0030339294
·条形码:9780030339295
·EAN:9780030339295
·版本:6
·装帧:精装
·正文语种:英语
内容简介 Investments is a mainstream, mid-level text for the first undergraduate course. Reilly and Norton cover the major topics logically and concisely, providing a strong base for those who want to do advanced work in investment analysis and valuation. Consistently using real-world examples, the authors convey the importance of theory and its application to real world investing.
作者简介 Professor Reilly received his BBA (Cum Laude), University of Notre Dame; MBA, Northwestern University; Ph.D. University of Chicago, and is a Chartered Financial Analyst (CFA). Dr. Reilly is the Bernard J. Hank Professor of Finance, Mendoza College of Business, University of Notre Dame. From 1981-1987, he was Dean of that College. Prior to 1981, Professor Reilly was a professor at the University of Illinois at Urbana-Champaign, the University of Wyoming, and the University of Kansas. He was included in the list of Outstanding Educators in America, received the Alumni Excellence in Graduate Teaching Award and the Outstanding Educator Award from the MBA class at the University of Illinois and the Outstanding Teachers Award from the MBA class at the University of Notre Dame, and the Faculty Award from the University of Notre Dame. Recently he was part of the inaugural group selected as a Fellow of the Financial Management Association International. At the 2001 AIMR annual meeting in Los Angeles, he received the Daniel J. Forrestal III Leadership Award for Professional Ethics and Standards of Investment Practice.
目录 PART I: INTRODUCTION. 1. The Investment Setting. PART II: INVESTMENT ENVIRONMENT. 2. Return and Risk Basics. 3. Selecting Investments in a Global Market. 4 Mutual Funds and other Managed Investments. 5. The Asset Allocation Decision. 6. Organization and Functioning of Securities Markets. 7. Security-Market Indicator Series. PART III: MANAGING RISK. 8. An Introduction to Portfolio Management. 9. An Introduction to Asset Pricing Model. 10. Efficient Capital Markets. 11. An Introduction to Derivative Instruments. 12. Derivatives: Analysis and Valuation. PART IV: EQUITY SECURITIES: VALUATION AND MANAGEMENT. 13. Economic and Industry Analysis. 14. Analysis of Financial Statements. 15. Company Analysis and Stock Valuation. 16. Technical Analysis. 17. Equity Portfolio Management. PART V: FIXED INCOME SECURITIES: ANALYSIS AND MANAGEMENT. 18. Fixed Income Analysis. 19. Fixed Income Portfolio Management. PART VI: MONITORING PORTFOLIOS. 20. Evaluation of Portfolio Management.
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