SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT
By: FISCHER, DONALD E, JORDAN, RONALD J
Material type:
TextPublisher: PEARSON Subject(s): INTRODUCTION TO SECURITIES. MARKETS FOR SECURITIES AND TAXES.RISK AND RETURN. ECONOMIC ANALYSIS. INDUSTRY ANALYSIS. COMPANY ANALYSIS .MEASURING EARNINGS. COMPANY ANALYSIS : FORECASTING EARNINGS.COMPANY ANALYSIS:APPLIED VALUATION. BOND ANALYSIS:RETURNS AND SYSTEMATIC RISK . BOND ANALYSIS : UNSYSTEMATIC RISK. BOND MANAGEMENT STRATEGIES. OPTIONS. RIGHT ,WARRANTS, AND CONVERTIBLES . FUTURES. TECHNICAL ANALYSIS. EFFICIENT-MARKET THEORY. PORTFOLIO ANALYSIS. PORTFOLIO SELECTION. CAPITAL MARKET THEORY. MANAGED PORTFOLIOS AND PERFORMANCE MEASUREMENTS
| Item type | Home library | Shelving location | Call number | Status | Date due | Barcode |
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Text book
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MIIMLIBRARY | RACK NO-32 | 332.6 (Browse shelf) | Available | 1080 |

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