Investment analysis and portfolio management / Prasanna Chandra.
Material type: TextOriginal language: English Publisher: India : McGraw Hill Education (India) Private Limited, 2021Edition: Sixth editionDescription: xxiii, 840 páginas sin numerar : ilustraciones, gráficas ; 24 cmContent type: texto Media type: sin mediación Carrier type: volumenISBN: 9789354600074; 9789354600081Subject(s): Análisis de inversiones | Administración del portafolio | Inversiones -- Estrategia y técnica -- Toma de decisiones | Mercado de valores | Acciones (Bolsa)DDC classification: 332.678Item type | Current library | Collection | Call number | Copy number | Status | Date due | Barcode | Item holds |
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General | 332.678 / C456 2021 (Browse shelf(Opens below)) | Ej.1 | Available (Sin restricciones) | 7101023980 |
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332.678 / C425p 2021 Portfolio management in practice / | 332.678 / C425p 2021 Portfolio management in practice / | 332.678 / C454s 2000 Sálvese quien pueda : una historia de la especulación financiera / | 332.678 / C456 2021 Investment analysis and portfolio management / | 332.678 / C692p A practical guide to risk management / | 332.678 / C718c Consolidación de los estados financieros y métodos de participación patrimonial - una visión integral / | 332.678 / C718c Cómo acceder al mercado de valores y realizar una oferta pública / |
Incluye índice y glosario.
Incluye referencias bibliográficas (201-247)
hapter 1. Overview: A Broad Map of the Territory ; Chapter 2. Investment Alternatives: Choices Galore ; Chapter 3. Securities Market: The Battlefield ; Chapter 4. Risk and Return: Two Sides of the Investment Coin ; Chapter 5. The Time Value of Money: The Magic of Compounding ; Chapter 6. Financial Statement Analysis: The Information Maze ; Chapter 7. Portfolio Theory: The Benefits of Diversification ; Chapter 8. Capital Asset Pricing Model and Arbitrage Pricing Theory ; Chapter 9. Efficient Market Hypothesis: The Collective Wisdom ; Chapter 10. Behavioural Finance: The Irrational Influences ; Chapter 11. Bond Prices and Yields: Figuring out the Assured Returns ; Chapter 12. Bond Portfolio Management: The Passive and Active Stances ; Chapter 13. Equity Valuation: How to Find Your Bearings ; Chapter 14. Macroeconomic and Industry Analysis ; Chapter 15. Company Analysis: Establishing the Value Benchmark ; Chapter 16. Technical Analysis: The Visual Clue ; Chapter 17. Options: The Upside Without the Downside ; Chapter 18. Futures: Where the Hedgers and the Speculators Meet ; Chapter 19. Mutual Funds and Alternative Investment Funds ; Chapter 20. Investment in Real Assets: The Tangible Thing ; Chapter 21. International Investing: The Global Search ; Chapter 22. Portfolio Management-Investment Policy and Strategy ; Chapter 23. Portfolio Management-Implementation and Review ; Chapter 24. Professional and Institutional Money Management ; Chapter 25. Guidelines for Investment Decisions: What it all Comes to ; Chapter 26. Strategies of the Great Masters: The Timeless Wisdom
Investment Analysis and Portfolio Management is an introductory book that seeks to capture the essence of modern developments in investments. It describes the characteristics of various investment alternatives available to investors along with the techniques used in their valuation and analysis. The book presents a framework for portfolio management with a set of guidelines for investors with varying inclinations. Primarily aimed for MBA students taking course in investments and security analysis, it will also be proved useful to industry practitioner. editor.
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