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Security Analysis and Portfolio Management Fischer, Donald E.

By: Material type: TextTextPublication details: Delhi Pearson education 2006Edition: 6Description: "xi, 691p."ISBN:
  • 978-81-775-8811-8
Subject(s): DDC classification:
  • 332.632 Fis/Jor
Contents:
Table of Content 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. Rights, Warrants and Convertibles. Futures. Technical Analysis. Efficient—Market Theory Portfolio Analysis. Portfolio Selection. Capital Market Theory. Managed Portfolios and Performance Measurements.
Summary: This comprehensive interface of traditional and modern approaches to securities analysis and portfolio management embraces a global approach and uses the unique feature of applying concepts to a continuous example, McDonalds Corporation. Salient Features A comprehensive, continuing illustration of a real company and real portfolio, McDonald's Corporation, demonstrate the application of the techniques of security analysis and portfolio management throughout the text. Expanded integration of international investing materials into chapters on equities, bonds, and derivatives. Revised and expanded cases placed throughout the text integrate two-to-three chapters and can be assigned to help students deal with real world situations. Updated information on the latest developments in taxation and accounting that are relevant to securities analysis and investing. Expanded materials on derivatives to include newer option forms and discussion of the general subject of financial engineering.
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Holdings
Item type Current library Call number Status Date due Barcode Item holds
Book Book Main Library 332.632/FIS/JOR/30899 (Browse shelf(Opens below)) Available 11130899
Total holds: 0

Table of Content
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.
Rights, Warrants and Convertibles.
Futures.
Technical Analysis.
Efficient—Market Theory
Portfolio Analysis.
Portfolio Selection.
Capital Market Theory.
Managed Portfolios and Performance Measurements.

This comprehensive interface of traditional and modern approaches to securities analysis and portfolio management embraces a global approach and uses the unique feature of applying concepts to a continuous example, McDonalds Corporation. Salient Features
A comprehensive, continuing illustration of a real company and real portfolio, McDonald's Corporation, demonstrate the application of the techniques of security analysis and portfolio management throughout the text.
Expanded integration of international investing materials into chapters on equities, bonds, and derivatives.
Revised and expanded cases placed throughout the text integrate two-to-three chapters and can be assigned to help students deal with real world situations.
Updated information on the latest developments in taxation and accounting that are relevant to securities analysis and investing.
Expanded materials on derivatives to include newer option forms and discussion of the general subject of financial engineering.

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