Investment Analysis and Portfolio Management, 10th Edition
Summary: “Investment Analysis and Portfolio Management” offers a comprehensive guide to the principles and practices of investment analysis and portfolio management. In this tenth edition, the book covers key topics such as asset allocation, security valuation, risk management, and portfolio construction, providing readers with a solid foundation in investment theory and practice. It explores various investment vehicles, including stocks, bonds, mutual funds, and alternative investments, while also addressing contemporary issues such as behavioral finance, sustainable investing, and financial innovation. With real-world examples, case studies, and practical exercises, the text engages readers in critical thinking about investment strategies and decision-making processes. Whether you’re a student studying finance or an investment professional seeking to enhance your expertise, this edition serves as an invaluable resource for understanding and navigating the complexities of investment analysis and portfolio management.
Author Information: The authors of “Investment Analysis and Portfolio Management” are likely experienced finance academics or practitioners with expertise in investment management.
Publisher: Cengage Learning
Publication Year: 2016
ISBN-10: 1111824005
ISBN-13: 978-1111824003