000 03179nam a22004217a 4500
003 phtghnu
005 20250526160955.0
007 ta
008 180104s2025 ohu b 001 0 eng
010 _a 2024901711
020 _a 9780357988176
_qpaperback
040 _beng
_erda
_cHNU
042 _apcc
050 0 0 _aHG4521
_b.R396 2025
082 _223
_3GC
_a332.6 R27
_b2025
100 1 _aReilly, Frank K.,
_eauthor.
245 1 0 _aInvestment analysis & portfolio management /
_cFrank K. Reilly, Keith C. Brown, Sanford J. Leeds.
246 3 _aInvestment analysis and portfolio management
250 _aTwelfth edition.
264 1 _aMason, OH, USA :
_bCengage Learning, Inc.,
_c[2025]
300 _axxiii, 805 pages :
_bcolor illustrations ;
_c26 cm
336 _atext
_btxt
_2rdacontent
337 _aunmediated
_bn
_2rdamedia
338 _avolume
_bnc
_2rdacarrier
504 _aIncludes bibliographical references (pages 750-761) and index.
505 _a1. The Investment Setting.2. Asset Allocation and Security Selection.3. Organization and Functioning of Securities Markets.4. Security Market Indexes and Index Funds.5. Efficient Capital Markets, Behavioral Finance and Technical Analysis.6. Introduction to Portfolio Management.7. Asset Pricing Models.8. Equity Valuation.9. The Top-Down Approach to Market, Industry, and Company Analysis.10. The Practice of Fundamental Investing.11. Equity Portfolio Management Strategies.12. Bond Fundamentals and Valuation.13. Bond Analysis and Portfolio Management Strategies.14. An Introduction to Derivative Markets and Securities.15. Forward, Futures, and Swap Contracts.16. Option Contracts.17. Professional Portfolio Management, Alternative Assets, and Industry Ethics.18. Evaluation of Portfolio Performance.
520 _aLearn to manage your money to maximize your earning potential. The extremely reader-friendly, succinct 18 chapters equips you with a solid understanding of investment instruments, capital markets, behavioral finance, hedge funds, international investing and much more. Real-world examples and hands-on applications bring chapter concepts to life as you learn to use the same tools as investment professionals. The 12th edition's unparalleled international coverage provides specific information on non-U.S. markets, instruments, conventions and techniques. New detailed discussions explain the impact of changes in both technology, regulations and ESG mandates on global security markets. In addition, three chapters are devoted to derivatives securities, which are now standard investment instruments
521 _aCBA
_bBachelor of Science in Business Administration major in Financial Management
546 _aEnglish
650 0 _aPortfolio management.
650 0 _aInvestment analysis.
650 0 _aInvestments.
700 1 _aBrown, Keith C.,
_eauthor.
700 1 _aLeeds, Sanford J.,
_eauthor.
906 _a7
_bcbc
_corignew
_d2
_eepcn
_f20
_gy-gencatlg
942 _2ddc
_cBK
_h300-399
999 _c138959
_d138959