Practical Investment Management
Format:Hardback
Publisher:Cengage Learning, Inc
Published:14th Jul '03
Currently unavailable, our supplier has not provided us a restock date
This text is intended for learners studying investments for the first time. Very practical and applied, it is comprehensive enough for those who plan to become CFAs, but remains user-friendly due to its clarity of explanation and its pedagogy. The book contains all standard topics found in the typical modern investments text, but in addition, several chapters of Practical Investment Management are unique. The third edition has two new chapters, one on behavioral finance (Ch. 11) and a second “security analysis” chapter (Ch. 8). Behavioral finance has become a mainstream topic in investment circles, and readers find it very interesting. The chapter on Mortgage-Backed Securities was new to the second edition. In addition to being an increasingly important asset class, mortgage-backed securities provide some thought-provoking questions on fixed income valuation. The third edition has two new chapters, one on behavioral finance and a second “security analysis” chapter. Behavioral finance has become a mainstream topic in investment circles, and students find it very interesting. The chapter on Mortgage-Backed Securities was new to the second edition. In addition to being an increasingly important asset class, mortgage-backed securities provide some thought-provoking questions on fixed income valuation. Bob Strong has an engaging writing style along with practical experience making this a very solid, yet very friendly, book for readers.
1. The Concept of Investing. 2. Understanding Risk and Return. 3. The Marketplace. Appendix: Statement of the Standards of Professional Conduct. 4. Bond Fundamentals. 5. Common Stock. 6. Market Mechanics. 7. Fundamental Stock Analysis. 8. Valuation Tools. 9. Technical Analysis. 10. Market Efficiency. 11. Behavioral Finance. 12. Gathering Investment Information. 13. Market Indexes. 14. Convertible Securities. 15. Investing Internationally. 16. Why Diversification? Appendix: Arbitrage Pricing Theory. 17. The Role of Derivative Assets. Appendix: Option Pricing. 18. Managing the Equity Portfolio. Appendix: Index Overwriting. 19. Managing the Fixed Income Portfolio. 20. Mortgage-Backed Securities. 21. Investment Companies. Appendix: Tax Considerations. 22. Performance Measurement and Presentation. 23. Contemporary Issues.
ISBN: 9780324171648
Dimensions: 251mm x 208mm x 27mm
Weight: 1180g
578 pages
Course Card Edition