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Investment analysis and portfolio management / Frank K. Reilly, Keith C. Brown.

By: Contributor(s): Material type: TextTextSeries: The Dryden Press series in finance | Dryden Press series in financePublisher: Fort Worth, Tex. : Dryden Press, 1997Edition: Fifth editionDescription: xxxi, 1090 pages : color illustrations ; 26 cmContent type:
  • text
Media type:
  • unmediated
Carrier type:
  • volume
ISBN:
  • 9780030186837
Subject(s): DDC classification:
  • 332.60973 RE.I 1997 G.C 23
LOC classification:
  • HG4521 .R396 1997
Contents:
Pt. 1. Investment Background -- Pt. 2. Developments in Investment Theory -- Pt. 3. Valuation Principles and Practices -- Pt. 4. Analysis and Management of Bonds -- Pt. 5. Analysis of Common Stocks -- Pt. 6. Derivative Security Analysis -- Pt. 7. Investment Companies and Evaluating Portfolio Performance -- App. A. How to Become a Chartered Financial Analyst -- App. B. Code of Ethics and Standards of Professional Conduct -- App. C. Interest Tables -- App. D. Standard Normal Probabilities.
Summary: Penned by a widely respected author team, this investments text takes an empirical approach to explaining current, real-world practice. Providing the most comprehensive coverage available, the text emphasizes investment alternatives and teaches students how to analyze these choices and manage their portfolio. Like the editions before it, the sixth edition includes excellent coverage of portfolio theory, capital market theory, security analysis, and international investments. (It is the currently adopted text for the Chartered Financial Analysis (CFA) program of the Association for Investment Management Research (AIMR).).
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Item type Current library Collection Call number Status Date due Barcode
Books Books The Knowledge Hub Library Gift collections 332.60973 RE.I 1997 G.C (Browse shelf(Opens below)) Available 191857

Donated by: Amira Shousha

Includes bibliographical references and indexes.

Pt. 1. Investment Background -- Pt. 2. Developments in Investment Theory -- Pt. 3. Valuation Principles and Practices -- Pt. 4. Analysis and Management of Bonds -- Pt. 5. Analysis of Common Stocks -- Pt. 6. Derivative Security Analysis -- Pt. 7. Investment Companies and Evaluating Portfolio Performance -- App. A. How to Become a Chartered Financial Analyst -- App. B. Code of Ethics and Standards of Professional Conduct -- App. C. Interest Tables -- App. D. Standard Normal Probabilities.

Penned by a widely respected author team, this investments text takes an empirical approach to explaining current, real-world practice. Providing the most comprehensive coverage available, the text emphasizes investment alternatives and teaches students how to analyze these choices and manage their portfolio. Like the editions before it, the sixth edition includes excellent coverage of portfolio theory, capital market theory, security analysis, and international investments. (It is the currently adopted text for the Chartered Financial Analysis (CFA) program of the Association for Investment Management Research (AIMR).).

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