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Portfolio management : theory & application.

FARRELL James L.

MC GRAW HILL

1997

560

0070200823

134.77-FARRE

PORTFOLIO MANAGEMENT ; FINANCIAL RISK ; CAPITAL MARKET ; PRICE THEORY ; CONVERTIBLE BOND ; STOCK EXCHANGE SECURITY ; CAPITAL ; FINANCIAL INVESTMENT


Number of copies : 3
No. Call n° Bar code Commentary
2 [not for loan]
3 Réserve – Ask a librarian
[available]
1 [available]

Comment : CONTENTS

Part I: INTRODUCTION
1. Systematic Portfolio Management


Part II: PORTFOLIO CONSTRUCTION AND ANALYSIS
2. Portfolio Construction.
3. Capital Market Theory and Applied Portfolio Analysis
4. Arbitrage Pricing Theory/Multi-Index Model


Part III: SECURITY VALUATION AND RISK ANALYSIS
5. Bond Valuation and Risk Analysis
6. Applying Valuation Model Methods
7. Simplified Valuation Models


Part IV: ASSET CLASS MANAGEMENT
8. Disciplined Stock Selection
9. Asset Allocation/Market Timing
10. Equity Investment Styles
11. International Investing


Part V: DERIVATIVES VALUATION AND PORTFOLIO APPLICATIONS
12. Financial Futures
13. Options
14. Managing the Bond Portfolio


Part VI: PORTFOLIO EVALUATION
15. Evaluating Portfolio Performance

Nbre volumes : 1

Language : English

Print : 2ème

Place of publishing : QUEBEC

Figure(s) : Graphique(s) ; Tableau(x)

Location : Nice Library

Material : Paper

Statement : Présent

Owner : Bibliothèque