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Fundamentals of Investments was written to: 1. Focus on students as investment managers, giving them information they can act on instead of concentrating on theories and research without the proper context. 2. Offer strong, consistent pedagogy, including a balanced, unified treatment of the main types of financial investments as mirrored in the investment world. 3. Organize topics in a way that makes them easy to apply--whether to a portfolio simulation or to real life--and support these topics with hands-on activities. The approach of this text reflects two central ideas. First, there is a…mehr

Produktbeschreibung
Fundamentals of Investments was written to: 1. Focus on students as investment managers, giving them information they can act on instead of concentrating on theories and research without the proper context. 2. Offer strong, consistent pedagogy, including a balanced, unified treatment of the main types of financial investments as mirrored in the investment world. 3. Organize topics in a way that makes them easy to apply--whether to a portfolio simulation or to real life--and support these topics with hands-on activities. The approach of this text reflects two central ideas. First, there is a consistent focus on the student as an individual investor or investments manager. Second, a consistent, unified treatment of the four basic types of financial instruments--stocks, bonds, options, and futures--focusing on their characteristics and features, their risks and returns, and the markets in which they trade.

Table of contents:
PART ONE: Introduction 1 A Brief History of Risk and Return 2 Buying and Selling Securities 3 Security Types 4 Mutual Funds PART TWO: Stock Markets 5 The Stock Market 6 Common Stock Valuation 7 Earnings and Cash Flow Analysis 8 Stock Price Behavior and Market Efficiency PART THREE: Interest Rates and Bond Valuation 9 Interest Rates 10 Bond Prices and Yields PART FOUR: Portfolio 11 Diversification and Asset Allocation 12 Return, Risk, and the Security Market Line 13 Performance Evaluation and Risk Management PART FIVE: Options and Futures 14 Stock Options 15 Option Valuation 16 Futures Contracts PART SIX: Topics in Investments 17 Corporate Bonds 18 Government Bonds 19 Mortgage-Backed Securities Appendixes A Answers to Test Your Investment Quotient Questions B Answers to Selected Questions and Problems Index
Autorenporträt
Bradford D. Jordan is Professor of Finance and Gatton Research Fellow in the Carol Martin Gatton College of Business and Economics at the University of Kentucky. He has a long-standing interest in both applied and theoretical issues in corporate finance, and has extensive experience teaching all levels of corporate finance and financial management policy. Professor Jordan has published numerous articles on issues such as cost of capital, capital structure, and the behavior of security prices.