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035 _a20732
020 _a256083428
040 _aGR-AtMCL
_bgre
_dGR-AtMCL
_eAACR2
245 1 _aInvestments / Second Edition
250 _a2nd
260 _bIrwin Mcgraw-Hill,
_c1993
300 _a1094
520 _aIntroduction, Prologue, The Investment Environment, Markets and Instruments, How Securitie Are Traded, Concepts and Issues, Portfolio Theory, Risk and Risk Aversion, Capital Allocation between the Risky Asset and the Risk-Free Asset, Optimal Risky Portfolios, Equilibrium in Capital Markets, The Capital Asset Pricing Model, Index Models, Arbitrage Pricing Theory, Empirical Evidence on Security Returns, Market Efficiency, Fixed-Income Securities, Bond Prices and Yields, The Term Structure of Interest Rates, Fixed-Income Portfolio Management, Security Analysis, Macroeconomic and Industry Analysis, Equity Valuation Models, Financial Statement Analysis, Options and Futures and Other Derivatives, Option Markets: Introduction, Option Valuation, Future Markets, Future Markets: A Closer Look, Active Portfolio Management, The Theory of Active Portfolio Management, Portfolio Performance Evaluation, Hedging, International and Extended Diversification, Players and Strategies, Glossary, Index.
700 1 _aBodie Zvi
_96697
700 1 _aKane Alex
_96698
700 1 _aMarcus Alan J
_91084
942 _cBK
999 _c5817
_d5817