图书介绍
投资分析与组合管理 第6版pdf电子书版本下载
- 弗兰克·K·赖利,基思·C·布朗著 著
- 出版社: 中信出版社
- ISBN:
- 出版时间:2002
- 标注页数:1242页
- 文件大小:247MB
- 文件页数:1275页
- 主题词:
PDF下载
下载说明
投资分析与组合管理 第6版PDF格式电子书版下载
下载的文件为RAR压缩包。需要使用解压软件进行解压得到PDF格式图书。建议使用BT下载工具Free Download Manager进行下载,简称FDM(免费,没有广告,支持多平台)。本站资源全部打包为BT种子。所以需要使用专业的BT下载软件进行下载。如 BitComet qBittorrent uTorrent等BT下载工具。迅雷目前由于本站不是热门资源。不推荐使用!后期资源热门了。安装了迅雷也可以迅雷进行下载!
(文件页数 要大于 标注页数,上中下等多册电子书除外)
注意:本站所有压缩包均有解压码: 点击下载压缩包解压工具
图书目录
Part 1 THE INVESTMENT BACKGROUND 2
Chapter 1 THE INVESTMENT SETTING 4
Chapter 2 THE ASSET ALLOCATION DECISION 36
Chapter 3 SELECTING INVESTMENTS IN A GLOBAL MARKET 68
Chapter 4 ORGANIZATION AND FUNCTIONING OF SECURITIES MARKETS 106
Chapter 5 SECURITY-MARKET INDICATOR SERIES 153
Chapter 6 SOURCES OF INFORMATION ON GLOBAL INVESTMENTS 180
Part 2 DEVELOPMENTS IN INVESTMENT THEORY 210
Chapter 7 EFFICIENT CAPITAL MARKETS 212
Chapter 8 AN INTRODUCTION TO PORTFOLIO MANAGEMENT 258
Chapter 9 AN INTRODUCTION TO ASSET PRICING MODELS 285
Chapter 10 EXTENSIONS AND TESTING OF ASSET PRICING THEORIES 313
Chapter 11 AN INTRODUCTION TO DERIVATIVE MARKETS AND SECURITIES 341
Part 3 VALUATION PRINCIPLES AND PRACTICES 380
Chapter 12 ANALYSIS OF FINANCIAL STATEMENTS 382
Chapter 13 AN INTRODUCTION TO SECURITY VALUATION 436
Chapter 14 THE ANALYSIS OF ALTERNATIVE ECONOMIES AND SECURITY MARKETS:THE GLOBAL ASSET ALLOCATION DECISION 475
Part 4 ANALYSIS AND MANAGEMENT OF BONDS 504
Chapter 15 BOND FUNDAMENTALS 506
Chapter 16 THE ANALYSIS AND VALUATION OF BONDS 542
Chapter 17 BOND PORTFOLIO MANAGEMENT STRATEGIES 622
Part 5 ANALYSIS OF COMMON STOCKS 676
Chapter 18 STOCK-MARKET ANALYSIS 678
Chapter 19 INDUSTRY ANALYSIS 726
Chapter 20 COMPANY ANALYSIS AND STOCK SELECTION 782
Chapter 21 TECHNICAL ANALYSIS 869
Chapter 22 EOUITY PORTFOLIO MANAGEMENT STRATEGIES 901
Part 6 DERIVATIVE SECURITY ANALYSIS 936
Chapter 23 FORWARD AND FUTURES CONTRACTS 938
Chapter 24 OPTION CONTRACTS 985
Chapter 25 SWAP CONTRACTS,CONVERTIBLE SECURITIES,AND OTHER EMBEDDED DERIVATIVES 1041
Part 7 INVESTMENT COMPANIES AND EVALUATING PORTFOLIO PERFORMANCE 1092
Chapter 26 PROFESSIONAL ASSET MANAGEMENT 1094
Chapter 27 EVALUATION OF PORTFOLIO PERFORMANCE 1132
Appendix A How TO BECOME A CHARTERED FINANCIAL ANALYST 1187
Appendix B CODE OF ETHICS AND STANDARDS OF PROFESSIONAL CONDUCT 1189
Appendix C INTEREST TABLES 1191
Appendix D STANDARD NORMAL PROBABILITIES 1196
GLOSSARY 1197
NAME AND COMPANY INDEX 1215
SUBJECT INDEX 1223