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- catalog contributor b12943784.
- catalog created "2002.".
- catalog date "2002".
- catalog date "2002.".
- catalog dateCopyrighted "2002.".
- catalog description "12. Forward and futures contracts -- 13. Options: basic concepts and strategies -- pt. V. Risk reduction and diversification -- 14. Risk and return: the linear relationships and the capital asset pricing model -- 15. International investment -- pt. VI. Market efficiency, mutual funds and technical analysis -- 16. Efficient markets: theory and evidence -- 17. Investment companies and mutual funds -- 18. Technical analysis.".
- catalog description "Includes bibliographical references and index.".
- catalog description "pt. I. The market environment and securities -- 1. Introduction -- 2. Bonds, stocks and other financial securities -- 3. Security markets -- pt. II. Risk and return -- 4. The past: return, risk and risk premium -- definitions, measurement and the historical record -- 5. The future: return, risk, risk aversion, risk premium and asset prices -- 6. Risk reduction by diversification -- pt. III. Bonds and stocks -- 7. Interest rates and bond valuation -- 8. Bonds: analysis and management -- 9. Common stocks: valuation -- 10. Common stocks: selection -- 11. Market and industry analysis -- pt. IV. Derivatives.".
- catalog extent "xxix, 569 p. :".
- catalog identifier "0273651692 (alk. paper)".
- catalog issued "2002".
- catalog issued "2002.".
- catalog language "eng".
- catalog publisher "New York : Financial Times,".
- catalog subject "332.6 21".
- catalog subject "HG4521 .L627 2002".
- catalog subject "Investments.".
- catalog subject "Securities.".
- catalog tableOfContents "12. Forward and futures contracts -- 13. Options: basic concepts and strategies -- pt. V. Risk reduction and diversification -- 14. Risk and return: the linear relationships and the capital asset pricing model -- 15. International investment -- pt. VI. Market efficiency, mutual funds and technical analysis -- 16. Efficient markets: theory and evidence -- 17. Investment companies and mutual funds -- 18. Technical analysis.".
- catalog tableOfContents "pt. I. The market environment and securities -- 1. Introduction -- 2. Bonds, stocks and other financial securities -- 3. Security markets -- pt. II. Risk and return -- 4. The past: return, risk and risk premium -- definitions, measurement and the historical record -- 5. The future: return, risk, risk aversion, risk premium and asset prices -- 6. Risk reduction by diversification -- pt. III. Bonds and stocks -- 7. Interest rates and bond valuation -- 8. Bonds: analysis and management -- 9. Common stocks: valuation -- 10. Common stocks: selection -- 11. Market and industry analysis -- pt. IV. Derivatives.".
- catalog title "Fundamentals of investments / Haim Levy.".
- catalog type "text".