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Investment Management

A Modern Guide to Security Analysis and Stock Selection

Erschienen am 19.10.2010, 1. Auflage 2009
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Bibliografische Daten
ISBN/EAN: 9783642100239
Sprache: Englisch
Umfang: xv, 634 S., 67 s/w Illustr., 634 p. 67 illus.
Einband: kartoniertes Buch

Beschreibung

Inhaltsangabeto securities markets and investment management.- to Market Microstructure.- An Overview of Securities Markets Regulation around the World.- Financial Theories.- The Capital Asset Pricing Model and Arbitrage Pricing Theory: Theory.- The Capital Asset Pricing Model and Arbitrage Pricing Theory: Tests and Application.- Financial Statements and Equity Prices.- Accounting and Financial Analysis.- The use (and misuse) of Cash flow statements.- Prospective Analysis: Guidelines for Forecasting Financial Statements.- Valuation models.- The EVA Approach to Investing.- DCF Valuation Models: Free Cash flow, APV, ECF and CCF valuation models.- Valuation Using Multiples.- Real Options Perspective of Security Analysis.- Investing in Initial Public Offerings and Depository Receipts.- Equity Options.- Pricing Equity Options.- Investing in Exotic Options.- Fixed Income and Credit sensitive instruments.- An Overview of Fixed Income Securities and Markets.- Investing in Convertibles, Preferred Stocks and Warrants.- Managing Fixed Income Portfolios.- Interest Rate Derivatives.- The Credit Market.- Investing in Credit Derivatives.- Active Investments and Market efficiency.- Market Efficiency: Theory, Tests and Applications.- An Overview of Mutual Funds and Exchange Traded Funds.- Understanding Active Portfolio Management.- Measuring Mutual Fund Performance.- Hedge Funds.- Investing in Emerging Markets.- Behavioral Finance and Summary.- Behavioral Finance and Investment Strategy.

Autorenportrait

Inhaltsangabeto securities markets and investment management.- to Market Microstructure.- An Overview of Securities Markets Regulation around the World.- Financial Theories.- The Capital Asset Pricing Model and Arbitrage Pricing Theory: Theory.- The Capital Asset Pricing Model and Arbitrage Pricing Theory: Tests and Application.- Financial Statements and Equity Prices.- Accounting and Financial Analysis.- The use (and misuse) of Cash flow statements.- Prospective Analysis: Guidelines for Forecasting Financial Statements.- Valuation models.- The EVA Approach to Investing.- DCF Valuation Models: Free Cash flow, APV, ECF and CCF valuation models.- Valuation Using Multiples.- Real Options Perspective of Security Analysis.- Investing in Initial Public Offerings and Depository Receipts.- Equity Options.- Pricing Equity Options.- Investing in Exotic Options.- Fixed Income and Credit sensitive instruments.- An Overview of Fixed Income Securities and Markets.- Investing in Convertibles, Preferred Stocks and Warrants.- Managing Fixed Income Portfolios.- Interest Rate Derivatives.- The Credit Market.- Investing in Credit Derivatives.- Active Investments and Market efficiency.- Market Efficiency: Theory, Tests and Applications.- An Overview of Mutual Funds and Exchange Traded Funds.- Understanding Active Portfolio Management.- Measuring Mutual Fund Performance.- Hedge Funds.- Investing in Emerging Markets.- Behavioral Finance and Summary.- Behavioral Finance and Investment Strategy.