Organized around a central core of consistent fundamental concepts, this work focuses on the importance of building an efficient portfolio, utilizing an asset allocation strategy. Pricing and trading are covered, and these concepts are then applied to portfolio planning in real-world securities markets governed by risk/return relationships. The text balances theoretical and real-world applications in order to help students understand investment theory and portfolio development. This edition includes expanded coverage of of derivatives as effective risk management tools, a new section on the global economy, and consideration of international accounting issues and exotic options. In addition, market microstructure coverage has been expanded to include NASDAQ trading practices controversy.
商品資料
出版社:N/A出版日期:1995-11-01ISBN/ISSN:9780256146387 語言:繁體中文For input string: ""
裝訂方式:平裝頁數:1000頁
購物須知
退換貨說明:
會員均享有10天的商品猶豫期(含例假日)。若您欲辦理退換貨,請於取得該商品10日內寄回。
辦理退換貨時,請保持商品全新狀態與完整包裝(商品本身、贈品、贈票、附件、內外包裝、保證書、隨貨文件等)一併寄回。若退回商品無法回復原狀者,可能影響退換貨權利之行使或須負擔部分費用。
訂購本商品前請務必詳閱退換貨原則。