Investments with S&P bind-in card - Mark Hirschey, John Nofsinger

Investments with S&P bind-in card

Media-Kombination
2009 | 2nd edition
McGraw-Hill Professional
978-0-07-730557-4 (ISBN)
176,10 inkl. MwSt
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Offers a comprehensive introduction to the field of investments. This title integrates developments from the field of behavioral finance. It provides students with knowledge of investment analytical tools and an understanding of the forces that drive the industry.
Investments: Analysis and Behavior, 2e is the first textbook to integrate exciting new developments from the field of behavioral finance in a comprehensive and balanced introduction to the field of investments. Since behavioral is intertwined in all aspects of investing, this text does just that. Investments: Analysis and Behavior is written from a unique perspective that will provide students with knowledge of investment analytical tools and an understanding of the forces that drive the industry.

University of Kansas - Lawrence John Nofsinger earned his B.S. in electrical engineering from Washington State University, his M.B.A. from Chapman University, and his Ph.D. in finance from Washington State University. He is Professor and William H. Seward Endowed Chair of International Finance at the University of Alaska Anchorage. Dr. Nofsinger has written more than 50 articles in the areas of investments, corporate finance, and behavioral finance. Dr. Nofsinger has authored (or co-authored) 10 trade books, scholarly books, and textbooks that have been translated into 11 different languages. The most prominent of these books is The Psychology of Investing. Dr. Nofsinger is a leading expert in behavioral finance and is a frequent speaker on this topic at industry conferences, universities, and academic conferences. He is frequently quoted or appears in the financial media, including the Wall Street Journal, Financial Times, Fortune, Bloomberg Businessweek, the Washington Post, and CNBC.

Part 1 Introduction to InvestmentsChapter 1 IntroductionChapter 2 Equity MarketsChapter 3 Buying and Selling EquitiesChapter 4 Risk and ReturnPart 2 Market Efficiency and Investor BehaviorChapter 5 Asset Pricing Theory and Performance EvaluationChapter 6 Efficient-Market HypothesisChapter 7 Market AnomaliesChapter 8 Psychology and the Stock MarketPart 3 Investment AnalysisChapter 9 Business EnvironmentChapter 10 Financial Statement AnalysisChapter 11 Value Stock InvestingChapter 12 Growth Stock InvestingChapter 13 Technical AnalysisPart 4 Fixed IncomeChapter 14 Bond Instruments and MarketsChapter 15 Bond ValuationPart 5 Investment ManagementChapter 16 Mutual FundsChapter 17 Global InvestingChapter 18 Option Markets and StrategiesChapter 19 Futures MarketsChapter 20 Real Estate and Tangible AssetsAppendix A The Time Value of Money and CompoundingAppendix B Reference to the Chartered Financial Analyst QuestionsGlossaryIndex

Sprache englisch
Maße 216 x 282 mm
Gewicht 1710 g
Themenwelt Wirtschaft Betriebswirtschaft / Management Finanzierung
ISBN-10 0-07-730557-4 / 0077305574
ISBN-13 978-0-07-730557-4 / 9780077305574
Zustand Neuware
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