Investments

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About the Author

Zvi Bodie is Professor of Finance and Economics at the Boston University School of Management. He is the director of Boston University’s Chartered Financial Analysts Examination Review Program and has served as consultant to many private and governmental organizations. Professor Bodie is a research associate of the National Bureau of Economic Research, where he was director of the NBER Project on Financial Aspects of the U.S. Pension System, and he is a member of the Pension Research Council of The Wharton School. He is widely published in leading professional journals, and his previous books include Pensions in the U.S. Economy, Issues in Pension Economics, and Financial Aspects of the U.S. Pension System.

Alex Kane is professor of finance and economics at the Graduate School of International Relations and Pacific Studies at the University of California, San Diego. He was visiting professor at the Faculty of Economics, University of Tokyo; Graduate School of Business, Harvard; Kennedy School of Government, Harvard; and research associate, National Bureau of Economic Research. An author of many articles in finance and management journals, Professor Kane’s research is mainly in corporate finance, portfolio management, and capital markets, most recently in the measurement of market volatility and the pricing of options. Professor Kane is the developer of the International Simulation Laboratory (ISL) for training and experimental research in executive decision making.

Alan Marcus is professor of finance in the Wallace E. Carroll School of Management at Boston College. He received his PHD in Economics from MIT in 1981. Professor Marcus recently has been a visiting professor at the Athens Laboratory of Business Administration and at MIT’s Sloan School of Management and has served as a research associate at the National Bureau of Economic Research. He also established the Chartered Financial Analysts Review Program at Boston College. Professor Marcus has published widely in the fields of capital markets and portfolio management, with an emphasis on applications of futures and options pricing models. His consulting work has ranged from new product development to provision of expert testimony in utility rate proceedings. He also spend two years at the Federal Home Loan Mortgage Corporation (Freddie Mac), where he developed models of mortgage pricing and credit risk, and he currently serves on the Advisory Council for the Currency Risk Management Alliance of State Street Bank and Windham Capital Management Boston.

出版者:McGraw-Hill Education
作者:Zvi Bodie
出品人:
页数:1080
译者:
出版时间:2013-11-16
价格:GBP 257.99
装帧:Hardcover
isbn号码:9780077861674
丛书系列:
图书标签:
  • 金融 
  • 投资学 
  • 投资 
  • 金融学 
  • 经济 
  • 教材 
  • 英文原版 
  • Finance 
  •  
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Bodie, Kane, and Marcus’ Investments sets the standard for graduate/MBA investments textbooks. It blends practical and theoretical coverage, while maintaining an appropriate rigor and a clear writing style. Its unifying theme is that security markets are nearly efficient, meaning that most securities are priced appropriately given their risk and return attributes. The text places greater emphasis on asset allocation and offers a much broader and deeper treatment of futures, options, and other derivative security markets than most investment texts.

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国内宏观经济 所有企业都在宏观经济这个大环境中运行,宏观经济是决定投资业绩的重要因素。 股价对于盈利率的具体比率取决于诸如利率、风险、通货膨胀率及其他一些变量。 宏观经济的非凡预测能力能带来辉煌的投资业绩。 宏观经济的关键经济统计量。其中的一些经济变量是: 我们...

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区分四种类型的市场:直接交易市场、经纪人市场、交易商市场和拍卖市场 1. 直接交易市场 直接交易市场是最松散的市场,买方和卖方必须直接相互搜寻。 例如,要售出一台旧冰箱,卖方通过在当地报纸上登载广告征求买方。 该市场的特点是零星参与、低价和商品的非标准化。 专于这...  

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投资银行负责新证券向公众的发行。 一旦证券交易委员会对募股说明书做出评价,而且说明书初稿已经被分发给了感兴趣的投资者,投资银行就会组织路演,全美巡回宣传即将进行的发行活动。 这些路演活动有两个目的: 一是为潜在投资者提供发行信息的同时激发其兴趣; 二是为发行公...  

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本来想了解下衍生品这个概念。看到豆瓣有很多人推荐不错,结果直接忽视了是专业人士看的书。 1000页的书,把我吓倒,全英文版本,我坑爹的手贱,买了回来!哭吧,看死去。 这一年啥也没干,就积累!  

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资产配置、分散化、风险和税收定位和收入制造。 投资策略中制定中最重要的是资产配置,也就是在投资组合中对每种主要资产类别投资多少。 资产配置的过程有以下几个步骤: 机构投资者大多投资于前四种资产。 a. 货币市场工具(通常称为现金)。 b. 固定收益证券(通常称为债券)...  

用户评价

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9.7是什么神仙教材啊(可惜

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还记得当年借得赵亮的中文版爱不释手,这学期上课才硬着头皮啃了这么多,其实语言不算太啰嗦了个人觉得,后面的章节还是要自己看起。

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BKM 现在看看真的本好教材。所有的框架系统性的整理好了,除了后期futures,options点到为止。所有的学好了 再补点Accounting,基本CFA Level1 没问题了。最近重读再复习复习notes吧????

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CU Financial Econ指定用书…

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It's the textbook for my class. This book is much more theoretical and pays much attention to mathematical. The highlight is that it talks all things about finance and investment, which makes it useful for beginner. However, the highlight is what makes the book verbose, to focus on the topic of investment, you can re-frame the book yourself.

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