投资学基础(附光盘估值与管理第3版英文改编版)/经济与金融经典入门教材
内容提要 :
本书是一本简明的投资学基础教程,在美国,被得克萨斯大学奥斯汀分校、波士顿大学第266所大学选作教材,广受好评。在本书中,作者始终以四种基本金融基础——股票、债券、期权和期货作为全书的主线,重点介绍了它们的特征、风险、收益及其交易市场。
作者简介 :
科拉多,是澳大利亚悉尼科技大学的金融学教授。他长年为本科生、硕士生和博士生讲授投资领域相关课程。科拉多教授在固定收益证券、金融衍行生产品、国际金融和金融市场研究的统计方法等领域发表了大量学术论文。
目录 :
PART ONE Introduction 1 A Brief History of Risk and Return 1 Buying and Selling Securities 40 Security Types 79 Mutual Funds 107 PART TWO Stock Markets 144 5 The Stock Market 144 6 Common Stock Valuation 176 7 Earnings and Cash Flow Analysis 219 8 Stock Price Behavior and Market Efficiency 250 PART THREE Interest Rates and Bond Valuation 286 9 Interest Rates 286 10 Bond Prices and Yields 323 PART FOUR Portfolio 361 11 Diversification and Asset Allocation 361 12 Return, Risk, and the Security Market Line 394 13 Performance Evaluation and Risk Management 429 PART FIVE Options and Futures 452 14 Stock Options 452 前言:
So why did we write this book?
As we toiled away, we asked ourselves this question many times, and the answer was always the same: Our students made us.
Traditionally, investments textbooks tend to fall into one of two camps. The first type has a greater focus on portfolio management and covers a significant amount of portfolio theory. The second type is more concerned with security analysis and gener- ally contains fairly detailed coverage of fundamental analysis as a tool for equity val- uation. Today, most texts try to cover all t..
序言:
投资学基础估值与管理第3版
适用对象
本书适合金融、投资及相关专业的本科生使用。
内容简介
《投资学基础》是一本简明的投资学基础教程,以通俗生动的语言系统地阐述了投资学的基本知识与理论。该书具有以下特点:(1)为投资管理专业的学生提供了可据以操作的信息,而不是脱离实践的理论与研究;(2)提供有力而连贯的知识教育,包括针对投资业内的主要金融'投资种类而设计的全面、统一的投资学知识;(3)以易于应用的方式将不同的主题组织起来,使读者在虚拟和实际的投资环境中都能有效地加以应用,并通过一系列的实践活动加以支持。这本教材所用的方法反映了两个中心思想:第一,本书始终将读..
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