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    1. Ekonomi och Ledarskap
    2. Företagsekonomi
    3. Redovisning och finansiering
    4. Finansiering

    Security Analysis, Portfolio Management, And Financial Derivatives

    AvCheng Few Lee,Joseph Finnerty

    Inbunden, Engelska, 2012

    1 642 kr

    Skickas . Fri frakt över 249 kr.

    Beskrivning

    Security Analysis, Portfolio Management, and Financial Derivatives integrates the many topics of modern investment analysis. It provides a balanced presentation of theories, institutions, markets, academic research, and practical applications, and presents both basic concepts and advanced principles. Topic coverage is especially broad: in analyzing securities, the authors look at stocks and bonds, options, futures, foreign exchange, and international securities. The discussion of financial derivatives includes detailed analyses of options, futures, option pricing models, and hedging strategies. A unique chapter on market indices teaches students the basics of index information, calculation, and usage and illustrates the important roles that these indices play in model formation, performance evaluation, investment strategy, and hedging techniques. Complete sections on program trading, portfolio insurance, duration and bond immunization, performance measurements, and the timing of stock selection provide real-world applications of investment theory. In addition, special topics, including equity risk premia, simultaneous-equation approach for security valuation, and Itô's calculus, are also included for advanced students and researchers.

    Produktinformation

    • Utgivningsdatum:2012-12-01
    • Mått:157 x 235 x 68 mm
    • Vikt:1 836 g
    • Format:Inbunden
    • Språk:Engelska
    • Antal sidor:1 192
    • Förlag:World Scientific Publishing Co Pte Ltd
    • ISBN:9789814343565

    Utforska kategorier

    • Finansiering inom Ekonomi och Ledarskap

    Innehållsförteckning

    • Introduction to Security analysis and Portfolio Management; Information and Security Valuations; Common Stock: Return, Growth, and Risk; Introduction to Valuation Theories; Bond Valuation and Analysis; The Uses and Calculation of Market Indexes; Source of Risk and Their Determination; Markowitz Portfolio-Selection Model; Capital Asset Pricing Model and Beta Forecasting; Index Models for Portfolio Selection; Arbitrage Pricing Theory; Futures Valuation and Hedging; Commodity Futures, Financial Futures, and Stock-Index Futures; Options and Option Strategies; Option Valuation and Hedging; Timing and Selectivity of Stocks and Mutual Funds; and other papers.
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