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- catalog contributor b13322897.
- catalog contributor b13322898.
- catalog contributor b13322899.
- catalog created "c2005.".
- catalog date "2005".
- catalog date "c2005.".
- catalog dateCopyrighted "c2005.".
- catalog description "Includes bibliographical references and indexes.".
- catalog description "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.".
- catalog extent "xxx, 1090 p. :".
- catalog hasFormat "Investments.".
- catalog identifier "0072861789 (alk. paper)".
- catalog isFormatOf "Investments.".
- catalog isPartOf "McGraw-Hill/Irwin series in finance, insurance, and real estate".
- catalog isPartOf "McGraw-Hill/Irwin series in finance, insurance, and real estate.".
- catalog issued "2005".
- catalog issued "c2005.".
- catalog language "eng".
- catalog publisher "Boston : McGraw-Hill/Irwin,".
- catalog relation "Investments.".
- catalog subject "332.6 22".
- catalog subject "HG4521 .B564 2005".
- catalog subject "Investments.".
- catalog subject "Portfolio management.".
- catalog tableOfContents "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.".
- catalog title "Investments / Zvi Bodie, Alex Kane, Alan J. Marcus.".
- catalog type "text".