Investments Global Edition by Bodie, Kane and Marcus
 
Product details:

ISBN13:9780077161149
ISBN10:0077161149
Binding:Paperback
No. of pages:1080 pages
Size:254x198x40 mm
Weight:2 g
Language:English
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Investments Global Edition by Bodie, Kane and Marcus

 
Edition number: 10
Publisher: McGraw-Hill Education
Date of Publication:
 
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Long description:
We are pleased to present this Global Edition, which has been developed specifically to meet the needs of internationalInvestment students. A market leader in the field, this text introduces major issues of concern to all investors and placesemphasis on asset allocation. It gives students the skills to conduct a sophisticated assessment of watershed current issuesand debates. Bodie Investments' blend of practical and theoretical coverage combines with a complete digital solution tohelp your students achieve higher outcomes in the course.

We are pleased to present this Global Edition, which has been developed specifically to meet the needs of internationalInvestment students. A market leader in the field, this text introduces major issues of concern to all investors and placesemphasis on asset allocation. It gives students the skills to conduct a sophisticated assessment of watershed current issuesand debates. Bodie Investments' blend of practical and theoretical coverage combines with a complete digital solution tohelp your students achieve higher outcomes in the course.
Table of Contents:

Part I Introduction

Chapter: 1 The Investment Environment

Chapter: 2 Asset Classes and Financial Instruments

Chapter: 3 How Securities are Traded

Chapter: 4 Mutual Funds and Other Investment Companies

Part II Portfolio Theory and Practice

Chapter: 5 Risk, Return, and the Historical Record

Chapter: 6 Capital Allocation to Risky Assets

Chapter: 7 Optimal Risky Portfolios

Chapter: 8 Index Models

Part III Equilibrium in Capital Markets

Chapter: 9 The Capital Asset Pricing Model

Chapter: 10 Arbitrage Pricing Theory and Multifactor Models of Risk and Return

Chapter: 11 The Efficient Market Hypothesis

Chapter: 12 Behavioral Finance and Technical Analysis

Chapter: 13 Empirical Evidence on Security Returns

Part IV Fixed-Income Securities

Chapter: 14 Bond Prices and Yields

Chapter: 15 The Term Structure of Interest Rates

Chapter: 16 Managing Bond Portfolios

Part V Security Analysis

Chapter: 17 Macroeconomic and Industry Analysis

Chapter: 18 Equity Valuation Models

Chapter: 19 Financial Statement Analysis

Part VI Options, Futures, and Other Derivatives

Chapter: 20 Options Markets: Introduction

Chapter: 21 Option Valuation

Chapter: 22 Futures Markets

Chapter: 23 Futures, Swaps, and Risk Management

Part VII Applied Portfolio Management

Chapter: 24 Portfolio Performance Evaluation

Chapter: 25 International Diversification

Chapter: 26 Hedge Funds

Chapter: 27 The Theory of Active Portfolio Management

Chapter: 28 Investment Policy and the Framework of the CFA Institute

References to CFA Problems

Glossary

Name Index

Subject Index