000 02167nam a2200217 4500
020 _a9780324407891
_cTZs.73820.41
040 _aMUL
_beng
_eAACR
082 _a332.6 REI
100 _aReilly, Frank K
245 _aInvestment analysis and portfolio management
_c/ Frank K. Reilly and Keith C. Brown
250 _a8th ed
260 _aMason,
_bThomson/South-Western,
_c©2006
300 _axxvii, 1174 p.:
_bill.;
_c25cm
504 _aIncludes index
505 _aPart 1: THE INVESTMENT BACKGROUND. Chapter 1. The Investment Setting. Chapter 2. The Asset Allocation Decision. Chapter 3. Selecting Investments in a Global Market. Chapter 4. Organization and Functioning of Securities Markets. Chapter 5. Security Market Indicator Series. Part 2: DEVELOPMENTS IN INVESTMENT THEORY. Chapter 6. Efficient Capital Markets. Chapter 7. An Introduction to Portfolio Management. Chapter 8. An Introduction to Asset Pricing Models. Chapter 9. Multifactor Models of Risk and Return. Part 3: VALUATION PRINCIPLES AND PRACTICES. Chapter 10. Analysis of Financial Statements. Chapter 11. An Introduction to Security Valuation. Part 4: ANALYSIS AND MANAGEMENT OF COMMON STOCKS400. Chapter 12. Macroanalysis and Microvaluation of the Stock Market. Chapter 13. Industry Analysis. Chapter 14. Company Analysis and Stock Valuation. Chapter 15. Technical Analysis. Chapter 16. Equity Portfolio Management Strategies. Part 5: ANALYSIS AND MANAGEMENT OF BONDS. Chapter 17. Bond Fundamentals. Chapter 18. The Analysis and Valuation of Bonds. Chapter 19. Bond Portfolio Management Strategies. Part 6: DERIVATIVE SECURITY ANALYSIS. Chapter 20. An Introduction to Derivative Markets and Securities. Chapter 21. Forward and Futures Contracts. Chapter 22. Option Contracts. Chapter 23. Swap Contracts, Convertible Securities, and OtherEmbedded Derivatives. Part 7: SPECIFICATION AND EVALUATION OF ASSETMANAGEMENT. Chapter 24. Professional Asset Management. Chapter 25. Evaluation of Portfolio Performance.
650 _aPortfolio management
_zUnited States
650 _aInvestments
_zUnited States
650 _aInvestment analysis
_zUnited States
700 _aBrown, Keith C.
942 _cBK
999 _c8329
_d8329