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Investments (ISE)(12版)

Investments

沒有庫存
訂購需時10-14天
9781260571158
Zvi Bodie,Alex Kane,Alan J. Marcus
華泰文化
2021年4月01日
467.00  元
HK$ 467  






ISBN:9781260571158
  • 叢書系列:投資學
  • 規格:平裝 / 966頁 / 20.2 x 25.4 x 4.83 cm / 普通級 / 雙色印刷 / 12版
  • 出版地:台灣
    投資學


  • 專業/教科書/政府出版品 > 財經類 > 財務金融 > 金融市場











      Investments sets the standard as a graduate (MBA) text intended primarily for courses in investment analysis. The guiding principle has been to present the material in a framework that is organized by a central core of consistent fundamental principles and will introduce students to major issues currently of concern to all investors. In an effort to link theory to practice, the authors make their approach consistent with that of the CFA Institute. Many features of this text make it consistent with and relevant to the CFA curriculum.



      The common unifying theme is that security markets are nearly efficient, meaning that most securities are priced appropriately given their risk and return attributes. Investments is also organized around several important themes: The central theme is the near-informational-efficiency of well-developed security markets and the general awareness that competitive markets do not offer "free lunches" to participants. A second theme is the risk-return trade-off. Also, this text places great emphasis on asset allocation. Finally, this text offers a broad and deep treatment of futures, options, and other derivative security markets.


     





    PART I: INTRODUCTION

    Ch 1 The Investment Environment

    Ch 2 Asset Classes and Financial Instruments

    Ch 3 How Securities Are Traded

    Ch 4 Mutual Funds and Other Investment Companies



    PART II: PORTFOLIO THEORY AND PRACTICE

    Ch 5 Risk, Return, and the Historical Record

    Ch 6 Capital Allocation to Risky Assets

    Ch 7 Efficient Diversification

    Ch 8 Index Models



    PART III: EQUILIBRIUM IN CAPITAL MARKETS

    Ch 9 The Capital Asset Pricing Model

    Ch10 Arbitrage Pricing Theory and Multifactor Models of Risk and Return

    Ch11 The Efficient Market Hypothesis

    Ch12 Behavioral Finance and Technical Analysis

    Ch13 Empirical Evidence on Security Returns



    PART IV: FIXED-INCOME SECURITIES

    Ch14 Bond Prices and Yields

    Ch15 The Term Structure of Interest Rates

    Ch16 Managing Bond Portfolios



    PART V: SECURITY ANALYSIS

    Ch17 Macroeconomic and Industry Analysis

    Ch18 Equity Valuation Models

    Ch19 Financial Statement Analysis



    PART VI: OPTIONS, FUTURES, AND OTHER DERIVATIVES

    Ch20 Options Markets: Introduction

    Ch21 Option Valuation

    Ch22 Futures Markets

    Ch23 Futures, Swaps, and Risk Management



    PART VII: APPLIED PORTFOLIO MANAGEMENT

    Ch24 Portfolio Performance Evaluation

    Ch25 International Diversification

    Ch26 Hedge Funds

    Ch27 The Theory of Active Portfolio Management

    Ch28 Investment Policy and the Framework of the CFA Institute




    其 他 著 作
    1. Investments(13版)
    2. Essentials of Investments(12版)
    3. 投資學:理論與實務 (Bodie/Investments/11e)(11版)