
| 科拉多,是澳大利亚悉尼科技大学的金融学教授。他长年为本科生、硕士生和博士生讲授投资领域相关课程。科拉多教授在固定收益证券、金融衍行生产品、国际金融和金融市场研究的统计方法等领域发表了大量学术论文。 |
| PART ONE Introductic 1 A Brief History of Risk and Return 2 Buying and Selling Securities 3 Security Types 4 Mutual Funds PART TWO Stock Markets 5 The Stock Market 6 Common Stock Valuation 7 Earnings and Cash Flow Analysis 8 Stock Price Behavior and Market Efficiency PART THREE Interest Rates and Bond Valuation 9 Interest Rates 10 Bond Prices and Yields PART FOUR Portfolio 11 Diversification and Asset Allocation 12 Return, Risk, and the Security Market Line 13 Performance Evaluation and Risk Management PART FIVE Options and Futures 14 Stock Options 15 Option Valuation 16 Futures Contracts Appendixes A Answers to Test Your Investment Quotient Questions B Answers to Selected Questions and Problems Index |
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