| 000 -LEADER |
| fixed length control field |
02064cam a2200313 a 4500 |
| 001 - CONTROL NUMBER |
| control field |
16967151 |
| 005 - DATE AND TIME OF LATEST TRANSACTION |
| control field |
20251027105700.0 |
| 008 - FIXED-LENGTH DATA ELEMENTS--GENERAL INFORMATION |
| fixed length control field |
110919s2012 ohua b 001 0 eng d |
| 010 ## - LIBRARY OF CONGRESS CONTROL NUMBER |
| LC control number |
2011939229 |
| 020 ## - INTERNATIONAL STANDARD BOOK NUMBER |
| International Standard Book Number |
9789814834711 |
| 040 ## - CATALOGING SOURCE |
| Transcribing agency |
NMSCST |
| 050 00 - LIBRARY OF CONGRESS CALL NUMBER |
| Classification number |
HG4521 |
| Item number |
.R396 2012 |
| 082 ## - DEWEY DECIMAL CLASSIFICATION NUMBER |
| Classification number |
Grad 332.678 |
| Item number |
R362 2019 |
| 100 1# - MAIN ENTRY--PERSONAL NAME |
| Personal name |
Reilly, Frank K. |
| 245 10 - TITLE STATEMENT |
| Title |
Investment analysis & portfolio management / |
| Statement of responsibility, etc. |
Frank K. Reilly, Keith C. Brown. |
| 246 3# - VARYING FORM OF TITLE |
| Title proper/short title |
Investment analysis and portfolio management |
| 250 ## - EDITION STATEMENT |
| Edition statement |
11th ed. |
| 260 ## - PUBLICATION, DISTRIBUTION, ETC. |
| Place of publication, distribution, etc. |
Australia : |
| Name of publisher, distributor, etc. |
CENGAGE, |
| Date of publication, distribution, etc. |
c2019. |
| 300 ## - PHYSICAL DESCRIPTION |
| Extent |
xxiii, 786 pages : |
| Other physical details |
color illustrations |
| 504 ## - BIBLIOGRAPHY, ETC. NOTE |
| Bibliography, etc. note |
Includes bibliographical references and index. |
| 505 0# - FORMATTED CONTENTS NOTE |
| Formatted contents note |
1. The investment setting -- 2. The asset allocation decision -- 3. Selecting investments in a global market -- 4. Organization and functioning of securities markets -- 5. Security market indexes -- 6. Efficient capital markets -- 7. An introduction to portfolio management -- 8. An introduction to asset pricing models -- 9. Multifactor models of risk and return -- 10. Analysis of financial statements -- 11. An introduction to security valuation -- 12. Macroanalysis and microvaluation of the stock market -- 13. Industry analysis -- 14. Company analysis and stock valuation -- 15. Technical analysis -- 16. Equity portfolio management strategies -- 17. Bond fundamentals -- 18. The analysis and valuation of bonds -- 19. Bond portfolio management strategies -- 20 An introduction to derivative markets and securities -- 21. Forward and futures contracts -- 22. Option contracts -- 23. Swap contracts, convertible securities, and other embedded derivatives -- 24. Professional money management, alternative assets, and industry ethics -- 25. Evaluation of portfolio performance. |
| 650 #0 - SUBJECT ADDED ENTRY--TOPICAL TERM |
| Topical term or geographic name entry element |
Portfolio management. |
|
| Topical term or geographic name entry element |
Investment analysis. |
|
| Topical term or geographic name entry element |
Investments. |
| 700 1# - ADDED ENTRY--PERSONAL NAME |
| Personal name |
Brown, Keith C. |
| 906 ## - LOCAL DATA ELEMENT F, LDF (RLIN) |
| a |
7 |
| b |
cbc |
| c |
copycat |
| d |
3 |
| e |
epcn |
| f |
20 |
| g |
y-gencatlg |
| 942 ## - ADDED ENTRY ELEMENTS |
| Source of classification or shelving scheme |
|
| Item type |
CIRCULATION BOOK |