Management of investments /
Jack Clark Francis.
- 3rd ed.
- New York : McGraw-Hill, c1993.
- 1 v. (various pagings) : ill. (some col.) ; 25 cm.
- McGraw-Hill series in finance .
CONTENTS
PART 1: INVESTMENT OPPORTUNITIES Chapter 1: Introduction Chapter 2: Debt securities Chapter 3: Equity and asset-based securities
PART 2: THE MARKET PLACE Chapter 4: securities markets Chapter 5: Measures of market price movements Chapter 6: Regulating securities markets Chapter 7: Federal taxes
PART 3: FINANCIAL ANALYSIS Chapter 8: Investment information sources Chapter 9: Analysis of financial statements Chapter 10: The default risk factor Chapter 11: The interest rate risk factor Chapter 12: Bond selection Chapter 13: Common stack analysis Chapter 14: Analysing earnings
PART 4: ANALYSIS OF MORE RISK FACTORS Chapter 15: Technical analysis Chapter 16: The efficient markets hypothesis Chapter 17: The market risk factor Chapter 18: Purchasing-power risk and other risk factors Chapter 19: Management risk and other risk factors Chapter 20: Making buy sell decisions
PART 5: DIVERSIFICATION Chapter 21: Options, warrants and convertibles Chapter 22: Commodity futures Chapter 23: Investing in real assets Chapter 24: Portfolio analysis Chapter 25: Capital market theory Chapter 26: Arbitrage pricing theory Chapter 27: International investing Chapter 28: Investment performance evaluation