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- catalog contributor b10472216.
- catalog contributor b10472217.
- catalog contributor b10472218.
- catalog created "c1996.".
- catalog date "1996".
- catalog date "c1996.".
- catalog dateCopyrighted "c1996.".
- catalog description "Includes bibliographical references and indexes.".
- catalog description "The Investment Environment -- Markets and Instruments -- How Securities Are Traded -- Mutual Funds and Other Investment Companies -- History of Interest Rates and Risk Premiums -- Portfolio Theory -- 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 -- Single-Index and Multifactor Models -- Arbitrage Pricing Theory -- Market Efficiency -- 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 -- Quantitative Review -- CFA Citations.".
- catalog extent "1 v. (various pagings) :".
- catalog hasFormat "Investments.".
- catalog identifier "0256146381 (cloth)".
- catalog isFormatOf "Investments.".
- catalog isPartOf "The Irwin series in finance".
- catalog issued "1996".
- catalog issued "c1996.".
- catalog language "eng".
- catalog publisher "Chicago : Irwin,".
- catalog relation "Investments.".
- catalog subject "332.63/2 20".
- catalog subject "HG4521 .B564 1996".
- catalog subject "Investments.".
- catalog subject "Portfolio management.".
- catalog tableOfContents "The Investment Environment -- Markets and Instruments -- How Securities Are Traded -- Mutual Funds and Other Investment Companies -- History of Interest Rates and Risk Premiums -- Portfolio Theory -- 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 -- Single-Index and Multifactor Models -- Arbitrage Pricing Theory -- Market Efficiency -- 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 -- Quantitative Review -- CFA Citations.".
- catalog title "Investments / Zvi Bodie, Alex Kane, Alan J. Marcus.".
- catalog type "text".