1.Plentiful, high quality end-of-chapter material includes a chapter summary, key terms with page references, Problem Sets (split by level of difficulty), CFA Problems, Kaplan-Schweser
problems, Excel problems with templates, Solutions to Concept Check questions, and Web Master Exercises. Appendix B lists each CFA question and the level and year of the CFA exam from which it
was derived.
2.Numerous Excel Applications and Problems are included where appropriate. This feature starts with an example presented in the chapter, briefly discusses how a spreadsheet can be valuable
for investigating the topic, shows a sample spreadsheet, asks students to apply the data to answer questions, and then directs students to the web to work with an interactive version of the
spreadsheet. Select chapters also contain Excel problems and are denoted by an icon. Excel spreadsheets are found within Connect.
3.Numbered Equations are called out in the text and identified by equation numbers, and separate numbered and titled examples are integrated in the chapters. Using the worked-out solutions to
these examples as models, students can learn how to solve specific problems in a step-by-step manner as well as gain insight into general principles by seeing how they are applied to answer
questions.
4.Current articles from financial publications such as The Wall Street Journal are featured as boxed readings, entitled On the Market Front. Each box is discussed in the narrative of the text
to strongly link the real-world relevance to the chapter topics.
作者介紹
作者簡介
Zvi Bodie
現職:Boston University – Finance
Alex Kane
現職:University of California - San Diego
Alan J. Marcus
現職:Boston College - Finance Department
Zvi Bodie
現職:Boston University – Finance
Alex Kane
現職:University of California - San Diego
Alan J. Marcus
現職:Boston College - Finance Department
目錄
PART I: ELEMENTS OF INVESTMENTS
Ch1 Investments: Background and Issues
Ch2 Asset Classes and Financial Instruments
Ch3 Securities Markets
Ch4 Mutual Funds and Other Investment Companies
PART II: PORTFOLIO THEORY
Ch5 Risk and Return: Past and Prologue
Ch6 Efficient Diversification
Ch7 Capital Asset Pricing and Arbitrage Pricing Theory
Ch8 The Efficient Market Hypothesis
Ch9 Behavioral Finance and Technical Analysis
PART II: DEBT SECURITIES
Ch10 Bond Prices and Yields
Ch11 Managing Bond Portfolios
PART IV: SECURITY ANALYSIS
Ch12 Macroeconomic and Industry Analysis
Ch13 Equity Valuation
Ch14 Financial Statement Analysis
PART V: DERIVATIVE MARKETS
Ch15 Options Markets
Ch16 Option Valuation
Ch17 Futures Markets and Risk Management
PART VI: ACTIVE INVESTMENT MANAGEMENT
Ch18 Portfolio Performance Evaluation
Ch19 Globalization and International Investing
Ch20 Hedge Funds
Ch21 Taxes, Inflation, and Investment Strategy
Ch22 Investors and the Investment Process
Ch1 Investments: Background and Issues
Ch2 Asset Classes and Financial Instruments
Ch3 Securities Markets
Ch4 Mutual Funds and Other Investment Companies
PART II: PORTFOLIO THEORY
Ch5 Risk and Return: Past and Prologue
Ch6 Efficient Diversification
Ch7 Capital Asset Pricing and Arbitrage Pricing Theory
Ch8 The Efficient Market Hypothesis
Ch9 Behavioral Finance and Technical Analysis
PART II: DEBT SECURITIES
Ch10 Bond Prices and Yields
Ch11 Managing Bond Portfolios
PART IV: SECURITY ANALYSIS
Ch12 Macroeconomic and Industry Analysis
Ch13 Equity Valuation
Ch14 Financial Statement Analysis
PART V: DERIVATIVE MARKETS
Ch15 Options Markets
Ch16 Option Valuation
Ch17 Futures Markets and Risk Management
PART VI: ACTIVE INVESTMENT MANAGEMENT
Ch18 Portfolio Performance Evaluation
Ch19 Globalization and International Investing
Ch20 Hedge Funds
Ch21 Taxes, Inflation, and Investment Strategy
Ch22 Investors and the Investment Process
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新書95折$1235