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Fundamentals of investments : valuation and management / Bradford D. Jordan, Thomas W. Miller Jr., Steven D. Dolvin.

By: Contributor(s): Series: McGraw-Hill/Irwin series in finance, insurance, and real estatePublication details: New York : McGraw-Hill Irwin, c2012.Edition: 6th edDescription: xlii, 708 p. : ill. (some col.) ; 29 cmContent type:
  • text
Media type:
  • unmediated
Carrier type:
  • volume
ISBN:
  • 9780077457648 :
  • 0077457641 :
Subject(s): LOC classification:
  • HG4521 .C66 2012
Contents:
PT.1. Introduction; 1. A Brief History of Risk and Return {u2013} 2.Buying and Selling Securities {u2013} 3. Overview of Security Types {u2013} 4. Mutual Funds {u2013} PT. 2. Stock Markets; 5. The Stock Market -- 6. Common Stock Valuation {u2013} 7. Stock Price Behavior and Market Efficiency -- 8. Behavioral Finance and the Psychology of Investing {u2013} PT. 3. Interest Rates and Bond Valuation; 9. Interest Rates -- 10. Bond Prices and Yields -- PT. 4. Portfolio Management; 11. Diversification and Risky Asset Allocation {u2013} 12. Return, Risk, and the Security Market Line {u2013} 13. Performance Evaluation and Risk Management -- PT. 5. Futures and Options; 14. Futures Contracts {u2013} 15. Stock Options {u2013} PT. 6. Topics in Investments; 16. Option Valuation {u2013} 17. Projecting Cash Flows and Earnings {u2013} 18. Corporate Bonds {u2013} 19. Government Bonds {u2013} 20. Mortgage-Backed Securities.

PT.1. Introduction; 1. A Brief History of Risk and Return {u2013} 2.Buying and Selling Securities {u2013} 3. Overview of Security Types {u2013} 4. Mutual Funds {u2013} PT. 2. Stock Markets; 5. The Stock Market -- 6. Common Stock Valuation {u2013} 7. Stock Price Behavior and Market Efficiency -- 8. Behavioral Finance and the Psychology of Investing {u2013} PT. 3. Interest Rates and Bond Valuation; 9. Interest Rates -- 10. Bond Prices and Yields -- PT. 4. Portfolio Management; 11. Diversification and Risky Asset Allocation {u2013} 12. Return, Risk, and the Security Market Line {u2013} 13. Performance Evaluation and Risk Management -- PT. 5. Futures and Options; 14. Futures Contracts {u2013} 15. Stock Options {u2013} PT. 6. Topics in Investments; 16. Option Valuation {u2013} 17. Projecting Cash Flows and Earnings {u2013} 18. Corporate Bonds {u2013} 19. Government Bonds {u2013} 20. Mortgage-Backed Securities.

Includes bibliographical references and indexes.

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