Investments

By: Sharpe, William FContributor(s): Alexander, Gordon J | Bailey, Jeffery VMaterial type: TextTextPublication details: New Delhi : Prentice-Hall of India, c1999Edition: 6th EditionDescription: xxix, 962 p. : illustrationsISBN: 0130101303 ; 9780130101303 ; 013011507X ; 9780130115072 ; 9788120321014 ; 8120321014Subject(s): Investments | Investment analysisDDC classification: 332.6
Contents:
Preface -- About the Authors -- 1. Introduction -- 2. Buying and Selling Securities -- 3. Security Markets -- 4. Efficient Markets, Investment Value, and Market Price -- 5. The Valuation of Riskless Securities -- 6. The Portfolio Selection Problem -- 7. Portfolio Analysis -- 8. Riskfree Borrowing and Lending -- 9. The Capital Asset Pricing Model -- 10. Factor Models -- 11. Arbitrage Pricing Theory -- 12. Taxes and Inflation -- 13. Fixed-Income Securities -- 14. Bond Analysis -- 15. Bond Portfolio Management -- 16. Common Stocks -- 17. The Valuation of Common Stocks -- 18. Earnings -- 19. Options -- 20. Futures -- 21. Investment Companies -- 22. Financial Analysis -- 23. Investment Management -- 24. Portfolio Performance Evaluation -- 25. International Investing -- Glossary -- Selected Solutions -- Index.
Summary: Designed for undergraduate and graduate courses in Investments, this book provides a theoretical framework around which to build knowledge of securities and securities markets. It distills the complexity of the investment environment, enumerating and describing various securities and markets.
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Item type Current library Collection Call number Status Date due Barcode Item holds
Reference Books Reference Books Main Library
Reference
Reference 332.6 SHA (Browse shelf(Opens below)) Available 009065
Total holds: 0

Included Index.

Preface --
About the Authors --
1. Introduction --
2. Buying and Selling Securities --
3. Security Markets --
4. Efficient Markets, Investment Value, and Market Price --
5. The Valuation of Riskless Securities --
6. The Portfolio Selection Problem --
7. Portfolio Analysis --
8. Riskfree Borrowing and Lending --
9. The Capital Asset Pricing Model --
10. Factor Models --
11. Arbitrage Pricing Theory --
12. Taxes and Inflation --
13. Fixed-Income Securities --
14. Bond Analysis --
15. Bond Portfolio Management --
16. Common Stocks --
17. The Valuation of Common Stocks --
18. Earnings --
19. Options --
20. Futures --
21. Investment Companies --
22. Financial Analysis --
23. Investment Management --
24. Portfolio Performance Evaluation --
25. International Investing --
Glossary --
Selected Solutions --
Index.

Designed for undergraduate and graduate courses in Investments, this book provides a theoretical framework around which to build knowledge of securities and securities markets. It distills the complexity of the investment environment, enumerating and describing various securities and markets.

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