Name: | test bank for Investments 8th canadian edition by zvi bodie | |
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Format: | Word /pdf Zip/All chapter include | |
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简介 标题:TEST BANK for Investments 8th Canadian edition by zvi bodie 版本:8th Canadian Edition 作者:by Zvi Bodie, Alex Kane, Alan Marcus, Stylianos Perrakis, Peter Ryan ISBN:007133887X ISBN-13: 978-0071338875 类型:Test bank /题库 格式:word/zip All chapter include 完整打包下载 Part 1 Introduction Chapter 1 The Investment Environment Chapter 2 Financial Markets and Instruments Chapter 3 Trading on Securities Markets Part 2 Portfolio Theory Chapter 4 Return and Risk: Analyzing the Historical Record Chapter 5 Capital Allocation to Risky Assets Chapter 6 Optimal Risky Portfolios Part 3 Equilibrium in Capital Markets Chapter 7 The Capital Asset Pricing Model Chapter 8 Index Models and the Arbitrage Pricing Theory Chapter 9 Market Efficiency Chapter 10 Behavioural Finance and Technical Analysis Chapter 11 Empirical Evidence on Security Returns Part 4 Fixed-Income Securities Chapter 12 Bond Prices and Yields Chapter 13 The Term Structure of Interest Rates Chapter 14 Managing Bond Portfolios Part 5 Equities Chapter 15 Macroeconomic and Industry Analysis Chapter 16 Equity Evaluation Models Chapter 17 Financial Statement Analysis Part 6 Derivative Assets Chapter 18 Options and Other Derivatives Markets: Introduction Chapter 19 Option Valuation Chapter 20 Futures, Forwards, and Swap Markets Part 7 Active Portfolio Management Chapter 21 Active Management and Performance Measurement Chapter 22 Portfolio Management Techniques Chapter 23 Managed Funds Chapter 24 International Investing Glossary Index 封面+预览 相关资料 solution manual for Investments 8th canadian edition by zvi bodie 课后习题答案
简介
版本:8th Canadian Edition
作者:by Zvi Bodie, Alex Kane, Alan Marcus, Stylianos Perrakis, Peter Ryan
ISBN:007133887X ISBN-13: 978-0071338875
类型:Test bank /题库
格式:word/zip
All chapter include 完整打包下载
Part 1 Introduction
Chapter 1 The Investment Environment
Chapter 2 Financial Markets and Instruments
Chapter 3 Trading on Securities Markets
Part 2 Portfolio Theory
Chapter 4 Return and Risk: Analyzing the Historical Record
Chapter 5 Capital Allocation to Risky Assets
Chapter 6 Optimal Risky Portfolios
Part 3 Equilibrium in Capital Markets
Chapter 7 The Capital Asset Pricing Model
Chapter 8 Index Models and the Arbitrage Pricing Theory
Chapter 9 Market Efficiency
Chapter 10 Behavioural Finance and Technical Analysis
Chapter 11 Empirical Evidence on Security Returns
Part 4 Fixed-Income Securities
Chapter 12 Bond Prices and Yields
Chapter 13 The Term Structure of Interest Rates
Chapter 14 Managing Bond Portfolios
Part 5 Equities
Chapter 15 Macroeconomic and Industry Analysis
Chapter 16 Equity Evaluation Models
Chapter 17 Financial Statement Analysis
Part 6 Derivative Assets
Chapter 18 Options and Other Derivatives Markets: Introduction
Chapter 19 Option Valuation
Chapter 20 Futures, Forwards, and Swap Markets
Part 7 Active Portfolio Management
Chapter 21 Active Management and Performance Measurement
Chapter 22 Portfolio Management Techniques
Chapter 23 Managed Funds
Chapter 24 International Investing Glossary Index