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Investments Zvi Bodie

Investments By Zvi Bodie

Investments by Zvi Bodie


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Summary

Offers a practical and theoretical coverage of investments market. This book places emphasis on asset allocation, and offers a treatment of futures, options, and other derivative security markets.

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Investments Summary

Investments by Zvi Bodie

Bodie/Kane/Marcus is the leading textbook in the graduate investments market. It is recognized as the best blend of practical and theoretical coverage, while maintaining an appropriate rigor and clear writing style. Its unifying theme is that security markets are nearly efficient, meaning that most securities are usually priced appropriately given their risk and return attributes. The text places greater emphasis on asset allocation, and offers a much broader and deeper treatment of futures, options, and other derivative security markets than most investment texts.

About Zvi Bodie

Zvi Bodie is Professor Emeritus at Boston University, where he taught from 1973 to 2016. Today, he is an independent financial consultant and educator. His main professional interest is to firmly establish finance as an applied science built on the principles explained in his books and websites. He holds a Ph.D. from the Massachusetts Institute of Technology and has served on the finance faculty at the Harvard Business School and MIT's Sloan School of Management. His textbook Financial Economics coauthored by Nobel-Prize winning economist Robert C. Merton has been translated into 9 languages. In addition to his textbooks, Bodie has coauthored two books for the mass market: Risk Less and Prosper: Your Guide to Safer Investing and Worry-Free Investing A Safe Approach to Achieving Your Lifetime Financial Goals. In 2007, the Retirement Income Industry Association gave him its Lifetime Achievement Award for applied research. He has authored and edited many books and articles on pensions and investing for retirement. With the support of the Research Foundation of the CFA Institute, he organized a series of 3 conferences on the theory and practice of life-cycle finance. Currently he serves as senior advisor to the Investments and Wealth Institute and consults for a number of financial firms including Dimensional Fund Advisors. Professor of finance and economics at the Graduate School of International Relations and Pacific Studies at the University of California, San Diego. He has been visiting professor at the Faculty of Economics, University of Tokyo; Graduate School of Business, Harvard; Kennedy School of Government, Harvard; and research associate, National Bureau of Economic Research. An author of many articles in finance and management journals, Professor Kanes research is mainly in corporate finance, portfolio management, and capital markets, most recently in the measurement of market volatility and pricing of options. Alan J. Marcus is a Professor of Finance in the Wallace E. Carroll School of Management at Boston College. His main research interests are in derivatives and securities markets. He is co-author (with Zvi Bodie and Alex Kane) of the texts Investments and Essentials of Investments. Professor Marcus has served as a research fellow at the National Bureau of Economic Research. Professor Marcus also spent two years at Freddie Mac, where he helped to develop mortgage pricing and credit risk models. He currently serves on the Research Foundation Advisory Board of the CFA Institute.

Table of Contents

Table of Contents: Part 1: Introduction1. The Investment Environment2. Markets and Instruments3. How Securities are Traded4. Mutual Funds and Other Investment Companies5. History of Interest Rates and Risk PremiumsPart 2: Portfolio Theory6. Risk and Risk Aversion7. Capital Allocation Between the Risky Asset and the Risk-Free Asset8. Optimal Risky PortfoliosPart 3: Equilibrium in Capital Markets9. The Capital Asset Pricing Model10. Single-Index and Multifactor Models11. Arbitrage Pricing Theory12. Market Efficiency13. Empirical Evidence on Security ReturnsPart 4: Fixed-Income Securities14. Bond Prices and Yields15. The Term Structure of Interest Rates16. Fixed-Income Portfolio ManagementPart 5: Security Analysis17. Macroeconomic and Industry Analysis18. Equity Valuation Models19. Financial Statement AnalysisPart 6: Options, Futures, and Other Derivatives20. Options Markets: Introduction21. Option Valuation22. Futures Markets23. Futures and Swaps: A Closer LookPart 7: Applied Portfolio Management24. Portfolio Performance Evaluation25. International Diversification26. The Process of Portfolio Management27. The Theory of Active Portfolio ManagementAppendix A. Quantitative ReviewAppendix B. CFA Citations

Additional information

CIN0072339160G
9780072339161
0072339160
Investments by Zvi Bodie
Used - Good
Hardback
McGraw-Hill Education - Europe
2001-08-16
1046
Book picture is for illustrative purposes only, actual binding, cover or edition may vary.
This is a used book - there is no escaping the fact it has been read by someone else and it will show signs of wear and previous use. Overall we expect it to be in good condition, but if you are not entirely satisfied please get in touch with us

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