BIBLIOTECA MANUEL BELGRANO - Facultad de Ciencias Económicas - UNC

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Security analysis and portfolio management / Donald E. Fischer, Ronald J. Jordan.

Por: Colaborador(es): Tipo de material: TextoTextoDetalles de publicación: Upper Saddle River, N.J. : Prentice Hall, 1995Edición: 6th edDescripción: xi, 691 pISBN:
  • 0131572563
Tema(s): Clasificación CDD:
  • 332.632
Contenidos:
1. Introduction to Securities. 2. Markets for Securities and Taxes. 3. Risk and Return. 4. Economic Analysis. 5. Industry Analysis. 6. Company Analysis: Measuring Earnings. 7. Company Analysis: Forecasting Earnings. 8. Company Analysis: Applied Valuation. 9. Bond Analysis; Returns and Systematic Risk. 10. Bond Analysis: Unsystematic Risk. 11. Bond Management Strategies. 12. Options. 13. Rights, Warrants and Convertibles. 14. Futures. 15. Technical Analysis. 16. Efficient-Market Theory. 17. Portfolio Analysis. 18. Portfolio Selection. 19. Capital Market Theory. 20. Managed Portfolios and Performance Measurements.
Resumen: This presentation of traditional and modern approaches to securities analysis and portfolio management embraces a global approach and uses the features of applying concepts to a continuous example, McDonald's Corporation. This text demonstrates the application of the techniques of security analysis and portfolio management throughout, along with updated information on recent developments in taxation and accounting that are relevant to securities analysis and investing. Boxed inserts draw contemporary real world examples into the text from popular financial publications.
Existencias
Tipo de ítem Biblioteca actual Signatura topográfica URL Estado Fecha de vencimiento Código de barras
Libro Libro Biblioteca Manuel Belgrano 332.632 F 43639 (Navegar estantería(Abre debajo)) Enlace al recurso Disponible 43639

Incluye bibliografía.

1. Introduction to Securities. 2. Markets for Securities and Taxes. 3. Risk and Return. 4. Economic Analysis. 5. Industry Analysis. 6. Company Analysis: Measuring Earnings. 7. Company Analysis: Forecasting Earnings. 8. Company Analysis: Applied Valuation. 9. Bond Analysis; Returns and Systematic Risk. 10. Bond Analysis: Unsystematic Risk. 11. Bond Management Strategies. 12. Options. 13. Rights, Warrants and Convertibles. 14. Futures. 15. Technical Analysis. 16. Efficient-Market Theory. 17. Portfolio Analysis. 18. Portfolio Selection. 19. Capital Market Theory. 20. Managed Portfolios and Performance Measurements.

This presentation of traditional and modern approaches to securities analysis and portfolio management embraces a global approach and uses the features of applying concepts to a continuous example, McDonald's Corporation. This text demonstrates the application of the techniques of security analysis and portfolio management throughout, along with updated information on recent developments in taxation and accounting that are relevant to securities analysis and investing. Boxed inserts draw contemporary real world examples into the text from popular financial publications.

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