02139cam a2200313 a 4500999001300000001000900013005001700022008004100039010001700080020001800097040001100115050002300126082002800149100002100177245008300198246004900281250001300330260003400343300004500377504005100422505108600473650002601559650002501585650001701610700002001627906004501647942001201692952012101704 c688d6881696715120251027205718.0110919s2012 ohua b 001 0 eng d a 2011939229 a9789814834711 cNMSCST00aHG4521b.R396 2012 aGrad 332.678bR362 20191 aReilly, Frank K.10aInvestment analysis & portfolio management /cFrank K. Reilly, Keith C. Brown.3 aInvestment analysis and portfolio management a11th ed. aAustralia :bCENGAGE,cc2019. axxiii, 786 pages :bcolor illustrations  aIncludes bibliographical references and index.0 a1. The investment setting -- 2. The asset allocation decision -- 3. Selecting investments in a global market -- 4. Organization and functioning of securities markets -- 5. Security market indexes -- 6. Efficient capital markets -- 7. An introduction to portfolio management -- 8. An introduction to asset pricing models -- 9. Multifactor models of risk and return -- 10. Analysis of financial statements -- 11. An introduction to security valuation -- 12. Macroanalysis and microvaluation of the stock market -- 13. Industry analysis -- 14. Company analysis and stock valuation -- 15. Technical analysis -- 16. Equity portfolio management strategies -- 17. Bond fundamentals -- 18. The analysis and valuation of bonds -- 19. Bond portfolio management strategies -- 20 An introduction to derivative markets and securities -- 21. Forward and futures contracts -- 22. Option contracts -- 23. Swap contracts, convertible securities, and other embedded derivatives -- 24. Professional money management, alternative assets, and industry ethics -- 25. Evaluation of portfolio performance. 0aPortfolio management. 0aInvestment analysis. 0aInvestments.1 aBrown, Keith C. a7bcbcccopycatd3eepcnf20gy-gencatlg 2ddccBK 00102ddc40708NFICaGLbGLcGRADd2023-07-28h10054l0oGrad 332.678 R362 2019p10054r2023-07-28w2023-07-28yBK