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Investments 
Alan Marcus ¤Ó McGraw-Hill Education
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2023³â 03¿ù 07ÀÏ
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1072page/201*254*37
  • ISBN
9781266085963/1266085963
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  • Á¦ÈÞ¸ô ÁÖ¹® ½Ã °í°´º¸»ó, ÀϺΠÀ̺¥Æ® Âü¿© ¹× ÁõÁ¤Ç° ÁõÁ¤, ÇÏ·ç/´çÀÏ ¹è¼Û¿¡¼­ Á¦¿ÜµÇ¹Ç·Î Âü°í ¹Ù¶ø´Ï´Ù.
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  • PART¥°: Introduction Chapter 1: The Investment Environment Chapter 2: Asset Classes and Financial Instruments Chapter 3: How Securities Are Traded Chapter 4: Mutual Funds and Other Investment Companies PART ¥± : Portfolio Theory and Practice Chapter 5: Risk, Return, and the Historical Record Chapter 6: Capital Allocation to Risky Assets Chapter 7: Efficient Diversification Chapter 8: Index Models PART ¥² Equilibrium in Capital Markets Chapter 9: The Capital Asset Pricing Model Chapter 10: Arbitrage Pricing Theory and Multifactor Models of Risk and Return Chapter 11: The Efficient Market Hypothesis Chapter 12: Behavioral Finance and Technical Analysis Chapter 13: Empirical Evidence on Security Returns PART ¥³ : Fixed-Income Securities Chapter 14: Bond Prices and Yields Chapter 15: The Term Structure of Interest Rates Chapter 16: Managing Bond Portfolios PART ¥´ : Security Analysis Chapter 17: Macroeconomic and Industry Analysis Chapter 18: Equity Valuation Models Chapter 19: Financial St...
  • Alan Marcus [Àú]
  • Alan J. Marcus is a Professor of Finance in the Wallace E. Carroll School of Management at Boston College.(Boston CollegeÀÇ Carroll School of ManagementÀÇ Mario Gabelli À繫 ¼®Á±³¼ö) 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.
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