 |  Investments, 4th Canadian Edition, 4/e Zvi Bodie,
Boston University School of Management Alex Kane,
University of California, San Diego Alan Marcus,
Boston College Stylianos Perrakis,
Concordia University Peter Ryan,
University of Ottawa
Student Centre
Contents:Chapter 1: The Investment Objective Chapter 2: Markets and Instruments Chapter 3: How Securities are Traded Chapter 4: Mutual Funds and The Institutional Environment Chapter 5: Concepts and Issues: Return, Risk and Risk Aversion Chapter 6: Portfolio Selection Chapter 7: The Capital Asset Pricing Model Chapter 8: Index Models and the Arbitrage Pricing Theory Chapter 9: Market Efficiency Chapter 10: Empirical Evidence on Security Returns Chapter 11: Bond Prices and Yields Chapter 12: The Term Structure of Interest Rates Chapter 13: Managing Bond Portfolios Chapter 14: Security Analysis Chapter 15: Financial Statement Analysis Chapter 16: Technical Analysis Chapter 17: Options and Other Derivatives: Introduction Chapter 18: Option Valuation Chapter 19: Futures and Forward Markets Chapter 20: Active Management and Performance Measurement Chapter 21: Portfolio Management Techniques Chapter 22: International Investing
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