Theory and problems of investments / by Jack Clark Francis and Richard Taylor
Material type:
- 0-07-134849-2
- Second ed. BRef. 332.6 F847s 2000
Item type | Home library | Call number | Status | Date due | Barcode | |
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UM Bansalan College LIC | BRef. 332.6 F847s 2000 (Browse shelf(Opens below)) | Not for loan | 4564 |
Includes appendixes and index
Chapter 1. Money market securities --2. Common and preferred stock --3. Corporate bonds --4. The time value of money --5. U.S treasury, agency and related bonds --6. Municipal bonds --7. Issuing and trading securities --8. Secondary security markets --9. Federal investments regulations --10. Security market indexes --11. Analysis of financial statements --12. Short positions, hedging, and arbitrage --13. Total risk and risk factors --14. Bond valuation --15. Bond portfolio management --16. Common stock valuation --17. Technical analysis --18. Efficient markets theory --19. Futures --20. Put and call options I --21. Put and call options II --22. Portfolio analysis --23. Capital market theory --24. Arbitrage pricing theory (APT) --25. Portfolio performance evaluation --26. International investing.
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