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In today’s economy, it’s critical for investors to have a strong understanding of the strategies needed to make the best decisions. Jones arms them with the most up-to-date information in the field while offering a proper balance between investment opportunities, techniques and analytics. He includes new discussions on the rapid rise and interest in exchange-traded funds, the new NYSE-Euronext market, the merger of the NYSE and Amex, and more. Expanded coverage is also presented in behavioral finance and the bond markets. In addition, investors will benefit from the updated problems and questions that really make them think of the most effective moves before acting.
PART ONE BACKGROUND
Chapter 1 Understanding Investments.
Chapter 2 Investment Alternatives.
Chapter 3 Indirect Investing.
Chapter 4 Securities Markets.
Chapter 5 How Securities are Traded.
PART TWO PORTFOLIO AND CAPITAL MARKET THEORY.
Chapter 6 Returns and Risks from Investing.
Chapter 7 Portfolio Theory.
Chapter 8 Portfolio Selection and Asset Allocation.
Chapter 9 Asset Pricing Models.
PART THREE COMMON STOCKS: ANALYSIS, VALUATION, AND MANAGEMENT.
Chapter 10: Common Stock Valuation.
Chapter 11 Common Stocks: Analysis and Strategy.
Chapter 12 Market Efficiency.
PART FOUR SECURITY ANALYSIS.
Chapter 13: Economy/Market Analysis.
Chapter 14 Sector/Industry Analysis.
Chapter 15 Company Analysis.
Chapter 16 Technical Analysis.
PART FIVE FIXED-INCOME SECURITIES: ANALYSIS, VALUATION AND MANAGEMENT.
Chapter 17 Bond Yields and Prices.
Chapter 18 Bonds: Analysis and Strategy.
PART SIX DERIVATIVE SECURITIES.
Chapter 19 Options.
Chapter 20 Futures.
PART SEVEN INVESTMENT MANAGEMENT.
Chapter 21 Portfolio Management.
Chapter 22 Evaluation of Investment Performance.