The Financial Times guide to understanding finance : a no-nonsense companion to financial tools and techniques / Javier Estrada
-
Estrada, Javier, 1964- (författare)
- ISBN 978-0-273-73802-2 (pbk alk paper)
- 2. ed.
- New York : Pearson/Prentice Hall, cop. 2011
- Engelska xix, 410 p.
-
Serie: Financial Times guides
Innehållsförteckning
Ämnesord
Stäng
- Risk and return -- Returns I: basic concepts -- Returns II: mean returns -- Risk I: total risk -- Risk and return I: portfolios -- Risk II: diversification -- Risk III: systematic risk -- Risk and return II: capm and the cost of capital -- Risk and return III: the three-factor model -- Risk IV: downside risk -- Risk and return IV: risk-adjusted returns -- Risk and return V: portfolio optimization -- Risk and return VI: the long term -- Valuation -- Stocks I: the dividend discount model -- Stocks II: the wacc model -- Stocks III: other dcf models -- Stocks IV: reverse valuation -- Stocks v: relative valuation -- Bonds I: prices and yields -- Bonds II: default risk and market risk -- Bonds III: duration and convexity -- Other important topics -- Npv and IRR -- Real options -- Corporate value creation -- Options -- Futures and forwards -- Currencies -- Statistical background -- Stats I: summary statistics -- Stats II: normality -- Stats III: non-normality -- Stats IV: regression analysis.
Ämnesord
- Business enterprises -- Finance -- Handbooks, manuals, etc. (LCSH)
- Corporations -- Finance -- Handbooks, manuals, etc. (LCSH)
- Corporate finance (shbe)
Klassifikation
- HG4027.3 (LCC)
- 658.15 (DDC)
- Qbc (kssb/8 (machine generated))
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