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Informationen zum Autor Zvi Bodie is professor of finance and economics at Boston University School of Management. He holds a Ph.D. from the Massachusetts Institute of Technology and has served on the finance faculty at Harvard Business School and MIT's Sloan School of Management. Professor Bodie has published widely on pension finance and investment strategy in leading professional journals. His books include Worry-Free Investing: A safe Approach to Achieving your Lifetime Financial Goals and Foundations of Pension Finance. Professor Bodie is managing director of Integrated Finance Limited, a specialized investment bank and financial engineering company. He is also a member of the Advisory Board of the Pension Research Council. Klappentext The market leading undergraduate investments textbook, Essentials of Investments , 9e by Bodie, Kane, and Marcus, emphasizes asset allocation while presenting the practical applications of investment theory. The authors have eliminated unnecessary mathematical detail and concentrate on the intuition and insights that will be useful to practitioners throughout their careers as new ideas and challenges emerge from the financial marketplace. The Ninth Edition includes increased attention to changes in market structure and trading technology, while continuing to be organized around one basic theme - that security markets are nearly efficient. Connect is the only integrated learning system that empowers students by continuously adapting to deliver precisely what they need, when they need it, and how they need it, so that your class time is more engaging and effective. Inhaltsverzeichnis Part 1: Elements of Investments1- Investments: Background and Issues2- Asset Classes and Financial Instruments3- Securities Markets4- Mutual Funds and Other Investment CompaniesPart 2: Portfolio Theory5- Risk and Return: Past and Prologue6- Efficient Diversification7- Capital Asset Pricing and Arbitrage Pricing Theory8- The Efficient Market Hypothesis9- Behavioral Finance and Technical AnalysisPart 3: Debt Securities10- Bond Prices and Yields11- Managing Bond PortfoliosPart 4: Security Analysis12- Macroeconomic and Industry Analysis13- Equity Valuation14- Financial Statement AnalysisPart 5: Derivative Markets15- Options Markets16- Option Valuation17- Futures Markets and Risk ManagementPart 6: Active Investment Management18- Portfolio Performance Evaluation 19- Globalization and International Investing 20- Hedge Funds21- Taxes, Inflation, and Investment Strategy 22- Investors and the Investment Process ...