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Institutional investment management : equity and bond portfolio strategies and applications / Frank J. Fabozzi

By: Fabozzi, Frank JPublication details: New Jersey : John Wiley, c2009. Description: xxiv, 856 p. : ill. ; 24 cmISBN: 9780470400944Subject(s): Portfolio management | Investment analysis | Institutional investmentsDDC classification: 332.6 FAB
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Item type Current library Home library Call number Status Date due Barcode Item holds
English Lending English Lending Villa College Library
Villa College Library
332.6 FAB (Browse shelf(Opens below)) Available 1525
Total holds: 0

Content includes:

Ch. 1: Overview of Investment Management;
Ch. 2: Theory of Portfolio Selection;
Ch. 3: Applying Mean-Variance Analysis;
Ch. 4: Issues in the Theory of Portfolio Selection;
Ch. 5: Asset Pricing Theories;
Ch. 6: The U.S. Equity Markets;
Ch. 7: Common Stock Strategies and Performance Evaluation;
Ch. 8: Financial Analysis; Chapter 9: Applied Equity Valuation;
Ch. 10: Forecasting Stock Returns.
Ch. 11: Managing a Common Stock Portfolio with Fundamental Factor Models
Ch. 12: Transaction Costs and Trade Execution in Common Stock Portfolio Management;
Ch. 13: Using Stock Index Futures and Equity Swaps in Equity Portfolio Management;
Ch. 14: Using Equity Options in Investment Management;
Ch. 15: Equity Option Pricing Models;
Ch. 16: Bond Fundamentals and Risks;
Ch. 17: Treasury and Agency Securities, Corporate Bonds, and Municipal Bonds;
Ch. 18: Structured Products: Rmbs, Cmbs, and Abs;
Ch. 19: The Structure of Interest Rates.
Ch. 20: Bond Pricing and Yield Measures
Ch. 21: Bond Price Volatility and the Measurement of Interest Rate Risk;
Ch. 22: Valuing Bonds with Embedded Options;
Ch. 23: Bond Portfolio Strategies;
Ch. 24: Using Derivatives in Bond Portfolio Management;
Ch. 25: Investment Companies, Exchange-Traded Funds, and Investment-Oriented Life Insurance;
Ch. 26: Alternative Assets

Includes bibliographical references and index

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