Theory and problems of investments / Jack Clark Francis, Richard Wayne Taylor
By: Francis, Jack Clark
.
Contributor(s): Taylor, Richard W
.
Material type: 

Item type | Home library | Call number | Status | Date due | Barcode | Item holds |
---|---|---|---|---|---|---|
![]() |
KCST Library | 332.6 Fr In (Browse shelf) | Available | 1000001277 |
Chapter 1: Money Market Securities. Chapter 2: Common and Preferred Stock. Chapter 3: Corporate Bonds. Chapter 4: The Time Value of Money. Chapter 5: U.S.Treasury, Agency and Related Bonds. Chapter 6: Municipal Bonds. Chapter 7: Issuing and Trading Securities. Chapter 8: Secondary Security Markets. Chapter 9: Federal Investments Regulations. Chapter 10: Security Market Indexes. Chapter 11: Analysis of Financial Statements. Chapter 12: Short Positions, Hedging, and Arbitrage. Chapter 13: Total Risk and Risk Factors. Chapter 14: Bond Valuation. Chapter 15: Bond Portfolio Management. Chapter 16: Common Stock Valuation. Chapter 17: Technical Analysis. Chapter 18: Efficient Markets Theory. Chapter 19: Futures. Chapter 20: Put and Call Options I. Chapter 21: Put and Call Options II. Chapter 22: Portfolio Analysis. Chapter 23: Capital Market Theory. Chapter 24: Arbitrage Pricing Theory (APT). Chapter 25: Portfolio Performance Evaluation. Chapter 26: International Investing. Appendices: A: Present Value of $1. B: Future Value of $1. C: Present Value of an Annuity of $1. D: Future Value of an Anuity fo $1.
There are no comments for this item.