Security Analysis and Portfolio Management
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Security Analysis and Portfolio Management
Title- Security Analysis and Portfolio Management
Authors- Donald E.Fischer, Ronald J.Jordan
Publisher- Prentice Hall of India
Category- Business Management
Language- English
Edition- 5th Edition,
ISBN- 81-203-0756-9
Total Numbered Pages- 768
Binding- Paperback
Condition- Used
Contents
Part I- The Investment Environment
1. Introduction to Securities
2. Markets for securities and taxes
Part II- Framework of Risk and Return
3. Security Return and Valuation
4. Risk in Holding Securities
Part III- Common Stock Analysis
5.Economic analysis
6.Industry analysis
7.Company analysis: Measuring Earnings
8.Company analysis: Forecasting Earnings
9.Company Analysis: Applies Valuation
Part IV- Bond Analysis
10. Bond Analysis: Returns and Systematic Risk
11. Bond Analysis: Unsystematic Risk
12. Bond Management Strategies
Part V- Options and Futures
13. Options
14. Warrants, and convertibles
15. Futures
Part VI- Alternative Investments
16.International Diversification
17.Venture Capital and Real Estate
Part VII- Technical Analysis and Efficient-Market Theory
18. Technical Analysis
19. Efficient-Market Theory
Part VIII- Portfolio Analysis, Selection and Management
20. Portfolio Analysis
21. Portfolio Selection
22. Capital Market Theory
23. Managed portfolios and performance measurements