Fischer, Donald E.

Security analysis and portfolio management Donald E. Fisher, Ronald J. Jordan, A.K. Pradhan - 7th ed. - Noida Pearson c2019 - 517p PB.

1) Introduction to Securities
2) Markets for Securities
3) Risk and Return
4) Portfolio Analysis
5) Index Models
6) Capital Market Theory
7 Economic Analysis
8) Industry Analysis
9) Company Analysis: Measuring Earnings
10) Company Analysis: Forecasting Earnings
11) Company Analysis: Applied Valuation
12) Bond Analysis: Return and Systematic Risk 
13) Bond Analysis: Unsystematic Risk  
14) Bond Management Strategies
15) Options
16) Rights, Warrants, and Convertibles
17) Futures
18) Technical Analysis
19) Efficient-market Theory
20) Behavioral Finance
21) Managed Portfolios and Performance measurements


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FINANCIAL ECONOMICS
INVESTMENT

332.6 FIS(SEC)Ed7