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020 _a9789353066284
_c729.00
040 _aS.X.U.K
041 _aEnglish
082 _a332.6 FIS(SEC)Ed7
100 _aFischer, Donald E.
245 _aSecurity analysis and portfolio management
_cDonald E. Fisher, Ronald J. Jordan, A.K. Pradhan
250 _a7th ed.
260 _aNoida
_bPearson
_cc2019
300 _a517p
_bPB.
500 _a 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
650 _aFINANCIAL ECONOMICS
_aINVESTMENT
700 _4auth.
_aJordan,Ronald J.
_aPradhan, A.K.
942 _cMBA