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The Financial Times guide to understanding finance: a no-nonsense companion to financial tools and techniques
2011, Pearson/Prentice Hall
in English
- 2nd ed.
027373802X 9780273738022
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Book Details
Table of Contents
Risk and return
Returns I: basic concepts
Returns II: mean returns
Risk I: total risk
Risk and return I: portfolios
Risk II: diversification
Risk III: systematic risk
Risk and return II: capm and the cost of capital
Risk and return III: the three-factor model
Risk IV: downside risk
Risk and return IV: risk-adjusted returns
Risk and return V: portfolio optimization
Risk and return VI: the long term
Valuation
Stocks I: the dividend discount model
Stocks II: the wacc model
Stocks III: other dcf models
Stocks IV: reverse valuation
Stocks v: relative valuation
Bonds I: prices and yields
Bonds II: default risk and market risk
Bonds III: duration and convexity
Other important topic
Npv and IRR
Real options
Corporate value creation
Options
Futures and forwards
Currencies
Statistical background
Stats I: summary statistics
Stats II: normality
Stats III: non-normality
Stats IV: regression analysis.
Edition Notes
Previously published under title: Finance in a nutshell.
Includes bibliographical references and index.
Classifications
The Physical Object
ID Numbers
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Feedback?August 2, 2020 | Edited by ImportBot | import existing book |
January 11, 2012 | Created by LC Bot | import new book |