



Investment Analysis and Portfolio Management (2nd Edition)
Description
The book presents and analyzes the theory and practical applications of Investment Analysis and Portfolio Management in a simple and understandable way to help the reader make effective investment decisions.
The 2nd revised edition of the book, first published in 2009, is the result of an effort to reform, enrich, update and improve its content, with the aim of facilitating the reader's study.
The book consists of twenty chapters, which analyze the following issues:
· return and risk,
· money and capital markets,
· valuation of fixed income securities,
· stock valuation,
· portfolio theory,
· capital market theory,
· investor profile,
· asset allocation with qualitative and quantitative approach,
· technical analysis,
· efficient market theory,
· stock and bond portfolio management strategies,
· derivative products,
· investment companies,
· portfolio performance evaluation.
Each chapter includes examples with their answers, as well as various exercises whose indicative answers are presented at the end of each chapter.
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