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Investment Analysis and Portfolio Management

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ISBN-10: 0324361319

ISBN-13: 9780324361315

Edition: 8th 2005

Authors: Frank K. Reilly, Keith Brown, Keith C. Brown, Robert A. Strong

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Intended for learners studying investments for the first time, this book is comprehensive enough for those who plan to become certified financial analysts. It contains all standard topics found in the typical modern investments text.
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Book details

Edition: 8th
Copyright year: 2005
Publisher: Cengage South-Western
Binding: Hardcover
Pages: 1174
Language: English

The investment background
The Investment Setting
The Asset Allocation Decision
Selecting Investments in a Global Market
Organization and Functioning of Securities Markets
Security-Market Indicator Series.
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
Analysis and management of bonds
Bond Fundamentals
The Analysis and Valuation of Bonds
Bond Portfolio Management Strategies
Valuation principles and practices
Analysis of Financial Statements
An Introduction to Security Valuation
The Analysis of Alternative Economies and Security Markets: The Global Asset Allocation Decision
Analysis of common stocks
Stock-Market Analysis
Industry Analysis
Company Analysis and Stock Selection
Technical Analysis
Equity Portfolio Management Strategies
Derivative security analysis
An Introduction to Derivative Markets and Securities
Forward and Futures Contracts.
Option Contracts
Swap Contracts, Convertible Securities, and Other Embedded Derivatives
Investment companies and evaluating portfolio performance
Professional Asset Management
Evaluation of Portfolio Performance
HOW TO BECOME AL CHARTERED FINANCIAL ANALYST
Code of ethics and standards of professional conduct
Interest tables
Standard normal probabilities