两个文件:
1.chapter1-15;
2.chapter16-26.
共9.44mb,1189页。
Measure of return and risk
contents
chapter1.the investment setting
chapter2.the asset allocation decision
chapter3.selectting investments in global market
CHAPTER4 ORGANIZATIONAND FUNCTIONINGOF SECURITIES MARKETS
CHAPTER5 SECURITY MARKET INDICATOR SERIES
CHAPTER6 EFFICIENT CAPITAL MARKETS
CHAPTER7 AN INTRODUCTIONTO PORTFOLIO MANAGEMENT
chapter8.AN INTRODUCTIONTO ASSET PRICING MODELS
CHAPTER9 MULTIFACTOR MODELSOF RISKAND RETURN
CHAPTER10 ANALYSISOF FINANCIAL STATEMENTS
CHAPTER11 AN INTRODUCTIONTO SECURITY VALUATION
CHAPTER12 MACROECONOMICAND MARKET ANALYSIS:THE GLOBAL ASSET ALLOCATION DECISIO
CHAPTER13 STOCK MARKET ANALYSis
CHAPTER12 MACROECONOMICAND MARKET ANALYSIS:THE GLOBAL ASSET ALLOCATION DECISION
CHAPTER14 INDUSTRY ANALYSIS
CHAPTER15 COMPANY ANALYSISAND STOCK VALUATION
CHAPTER16 TECHNICAL ANALYSIS
CHAPTER17 EQUITY PORTFOLIO MANAGEMENT STRATEGIES
CHAPTER18 BOND FUNDAMENTALS
CHAPTER19 THE ANALYSISAND VALUATIONOF BONDS
CHAPTER20 BOND PORTFOLIO MANAGEMENT STRATEGIES
CHAPTER21 AN INTRODUCTIONTO DERIVATIVE MARKETSAND SECURITIES
CHAPTER22 FORWARDAND FUTURES CONTRACT
CHAPTER23 OPTION CONTRACTS
CHAPTER24 SWAP CONTRACTS,CONVERTIBLE SECURITIES, AND OTHER EMBEDDED DERIVATIVES
R25 PROFESSIONAL ASSET MANAGEMENT
CHAPTER26 EVALUATIONOF PORTFOLIO PERFORMANCE
[此贴子已经被作者于2008-4-30 14:43:06编辑过]