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020 _a0030186838
020 _a9780030186837
040 _cLC
050 _aHG4910.R36
082 _a332.6/0973
100 _aReilly, Frank K.
245 _aInvestment analysis and portfolio management. /
_cFrank K. Reilly and Keith C. Brown
250 _a5th ed.
260 _aLondon:
_bThe Dryden Press,
_c1997.
300 _axxxi, 1090 p.:
_bill.;
500 _aIncludes index.
505 _aContents: 1. The Investment background: The Investment setting -- Asset allocation -- Selecting investments in a global market -- Organization and functioning of securities markets -- Security-market indicator series -- Sources of information on global investments -- 2. Developments in investment theory: Efficient capital markets -- An introduction to portfolio management -- An introduction to asset pricing models -- Extensions and testing of asset pricing theories -- An Introduction to derivative markets and securities -- 3. Valuation principles and practices: Analysis of financial statements -- An Introduction to security valuation -- The Analysis and valuation of bonds -- Bond portfolio management strategies -- 5. Analysis of common stocks: Stock-market analysis -- Industry analysis -- Company analysis and stock selection -- Technical analysis -- Equity portfolio management strategies -- 6. Derivative security analysis: Forward and futures contracts -- Option contracts -- Swap contracts, convertible securities and other embedded derivatives -- 7. Investment companies and evaluating portfolio performance: Investment companies -- Evaluation of portfolio performance --
650 _bInvestment.
700 _qBrown, Keith C.
942 _2lcc
_cBK
999 _c8380
_d15880