logo
logo
x
바코드검색
BOOKPRICE.co.kr
책, 도서 가격비교 사이트
바코드검색

인기 검색어

실시간 검색어

검색가능 서점

도서목록 제공

[eBook Code] Investments

[eBook Code] Investments (eBook Code, 1st)

(Principles of Portfolio and Equity Analysis)

Michael McMillan, Jerald E. Pinto, Wendy L. Pirie, Gerhard Van de Venter (지은이), E. Lawrence
Wiley
138,000원

일반도서

검색중
서점 할인가 할인률 배송비 혜택/추가 실질최저가 구매하기
110,400원 -20% 0원
0원
110,400원 >
yes24 로딩중
교보문고 로딩중
notice_icon 검색 결과 내에 다른 책이 포함되어 있을 수 있습니다.

중고도서

검색중
서점 유형 등록개수 최저가 구매하기
로딩중

eBook

검색중
서점 정가 할인가 마일리지 실질최저가 구매하기
로딩중

책 이미지

[eBook Code] Investments
eBook 미리보기

책 정보

· 제목 : [eBook Code] Investments (eBook Code, 1st) (Principles of Portfolio and Equity Analysis)
· 분류 : 외국도서 > 경제경영 > 투자/증권 > 일반
· ISBN : 9781118001165
· 쪽수 : 656쪽
· 출판일 : 2011-01-11

목차

Foreword xiii

Acknowledgments xv

Introduction xvii

CHAPTER 1 Market Organization and Structure 1

Learning Outcomes 1

1. Introduction 1

2. The Functions of the Financial System 2

3. Assets and Contracts 10

4. Financial Intermediaries 24

5. Positions 35

6. Orders 41

7. Primary Security Markets 47

8. Secondary Security Market and Contract Market Structures 51

9. Well-Functioning Financial Systems 56

10. Market Regulation 58

11. Summary 61

CHAPTER 2 Security Market Indices 73

Learning Outcomes 73

1. Introduction 73

2. Index Definition and Calculations of Value and Returns 75

3. Index Construction and Management 78

4. Uses of Market Indices 90

5. Equity Indices 91

6. Fixed-Income Indices 94

7. Indices for Alternative Investments 96

8. Summary 101

CHAPTER 3 Market Efficiency 109

Learning Outcomes 109

1. Introduction 109

2. The Concept of Market Efficiency 111

3. Forms of Market Efficiency 118

4. Market Pricing Anomalies 124

5. Behavioral Finance 131

6. Summary 134

CHAPTER 4 Portfolio Management: An Overview 139

Learning Outcomes 139

1. Introduction 139

2. A Portfolio Perspective on Investing 140

3. Investment Clients 149

4. Steps in the Portfolio Management Process 156

5. Pooled Investments 160

6. Summary 172

CHAPTER 5 Portfolio Risk and Return: Part I 175

Learning Outcomes 175

1. Introduction 175

2. Investment Characteristics of Assets 176

3. Risk Aversion and Portfolio Selection 200

4. Portfolio Risk 209

5. Efficient Frontier and Investor’s Optimal Portfolio 222

6. Summary 234

CHAPTER 6 Portfolio Risk and Return: Part II 243

Learning Outcomes 243

1. Introduction 243

2. Capital Market Theory 244

3. Pricing of Risk and Computation of Expected Return 256

4. The Capital Asset Pricing Model 267

5. Beyond the Capital Asset Pricing Model 284

6. Summary 287

CHAPTER 7 Basics of Portfolio Planning and Construction 295

Learning Outcomes 295

1. Introduction 295

2. Portfolio Planning 296

3. Portfolio Construction 312

4. Summary 326

CHAPTER 8 Overview of Equity Securities 331

Learning Outcomes 331

1. Introduction 331

2. Equity Securities in Global Financial Markets 332

3. Types and Characteristics of Equity Securities 338

4. Private versus Public Equity Securities 345

5. Investing in Nondomestic Equity Securities 347

6. Risk and Return Characteristics of Equity Securities 353

7. Equity Securities and Company Value 356

8. Summary 362

CHAPTER 9 Introduction to Industry and Company Analysis 369

Learning Outcomes 369

1. Introduction 370

2. Uses of Industry Analysis 370

3. Approaches to Identifying Similar Companies 371

4. Industry Classification Systems 374

5. Describing and Analyzing an Industry 385

6. Company Analysis 412

7. Summary 417

CHAPTER 10 Equity Valuation: Concepts and Basic Tools 425

Learning Outcomes 425

1. Introduction 426

2. Estimated Value and Market Price 426

3. Major Categories of Equity Valuation Models 428

4. Present Value Models: The Dividend Discount Model 430

5. Multiplier Models 445

6. Asset-Based Valuation 457

7. Summary 461

CHAPTER 11 Equity Market Valuation 469

Learning Outcomes 469

1. Introduction 469

2. Estimating a Justified P/E Ratio 470

3. Top-Down and Bottom-Up Forecasting 484

4. Relative Value Models 491

5. Summary 506

CHAPTER 12 Technical Analysis 515

Learning Outcomes 515

1. Introduction 515

2. Technical Analysis: Definition and Scope 516

3. Technical Analysis Tools 520

4. Elliott Wave Theory 563

5. Intermarket Analysis 566

6. Summary 568

Problems 570

Glossary 575

References 589

About the Authors 595

About the CFA Program 601

Index 603

이 포스팅은 쿠팡 파트너스 활동의 일환으로,
이에 따른 일정액의 수수료를 제공받습니다.
이 포스팅은 제휴마케팅이 포함된 광고로 커미션을 지급 받습니다.
도서 DB 제공 : 알라딘 서점(www.aladin.co.kr)
최근 본 책