Investment and Portfolio Analysis
Material type:
- 9780471531524
- 332.6 LEV
Item type | Current library | Item location | Collection | Call number | Status | Date due | Barcode | Item holds | |
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NIMA Knowledge Centre | 9th Floor Reading Zone | General | 332.6 LEV (Browse shelf(Opens below)) | Available | M00052 |
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332.6 LEI Return Targets and Shorfall Risks: Studies in Strategic Asset Allocation | 332.6 LEI Return Targets and Shorfall Risks: Studies in Strategic Asset Allocation | 332.6 LEV Introduction to Investments | 332.6 LEV Investment and Portfolio Analysis | 332.6 LIF The Psychology of the Investing | 332.6 LIM Investing Demystified: A Self Teaching Guide | 332.6 LOF Investment Management |
Security Analysis and Valuation of the firm Capital Market Measuring Corporate Profits Alternative Measures of Profitability Valuation of Securities: Bonds and Preferred Stocks Valuation of Securities: Common Stocks PORTFOLIO SELECTION The Investment Decision under Conditions of Uncertainty Alternative Shapes of the Utility Function The Efficiency Analysis of Investment Under Uncertainty The Mean-Variance Criterion The Mean-Variance Criterion and Portfolio Selection The Mean-Variance Criterion and Quadratic Utility Investor's Wealth, the Discount Rate, and the Relative Effectiveness of Efficiency Criteria Price Determination in the Stock Market APPLICATIONS OF PORTFOLIO THEORY The Assessment of Portfolio Performance Two Studies in Corporate Diversification: Conglomerate Mergers and Multiperiod Capital Investments International Diversification of Investments TECHNICAL SUPPLEMENTS
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