000 01360nmm a22001697a 4500
999 _c6217
_d6217
003 OSt
005 20200211093521.0
008 181213b ||||| |||| 00| 0 eng d
040 _cUM Bansalan College LIC
082 _aBME 332.632
_bJ63e 2014
100 _98373
_aJohnson, Stafford R.
245 _aEquity market and Portfolio analysis /
_cby R. Stafford Johnson.
260 _a--United State :
_bJohn Wiley & Sons, Incorporated,
_c2014.
300 _a1 videodisc :
_b sound, color ;
_c 4 3/4 in.
505 _aCHAPTER 1 Overview of the Financial System. --CHAPTER 2. Overview and guide to the bloomberg system. --CHAPTER 3. Stock and Bond Valuation and Return. --CHAPTER 4. Equity Securities, market and trading. --CHAPTER 5. Investment funds, intermediate security and global equity markets. --CHAPTER 6. Expected rate of return and risk-stock. --CHAPTER 7. Portfolio Evaluation. --CHAPTER 8. Portfolio selection Markowitz Model. --CHAPTER 9. The capital asset pricing mode. --CHAPTER 10. the arbitrage pricing Theory. --CHAPTER 11. The financial anatomy of company Fundamental Analyis. -CHAPTER 12. Applied fundamental analysis. --CHAPTER 13. Market and industrial analysis: Top Down Approach. --CHAPTER 14. Technical Analysis. --CHAPTER 15. Efficient Markets. --CHAPTER 16. OPTION Markets. --CHAPTER 17. Futures market.
942 _2ddc
_cBME