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Bodie一書一向為投資學領域中之領導品牌;本書適合研究所(MBA)之入門課程採用。在內容上,充分融合實務與理論範疇,且維持一貫嚴謹而清晰的文筆表達風格。其主旨為證券市場乃是一個近乎「具有效率」的市場,也就表示大部分的證券都能依其所隱含之獲利與曝險程度,而得到適當的評價結果。另一方面,在相較於其他的投資學產品之下,本書會有較多篇幅有關於資產配置層面,並且在期貨、選擇權、以及其他衍生性產品市場的題材上,會有較廣泛而深入的探討。 本書尚有特點如下: 1.本版新增Excel練習題組:在特選章節當中所安排之Excel練習題組,讀者可連結到書本網頁www.mhhe.com/bkm上所設置之Excel試算表進行習作演練。 2.「Street boxed readings」單元列舉一些商業期刊上的短文,可以幫助讀者加深該章節的概念,並理解這些概念在於商業實務上的運作。 3.前版之6、7章合併成為第6章「風險性資產的風險驅避與資產配置」,將原有此兩主題之內容妥善整合,並新加入對於投資人風險驅避性的詮釋與評估。目錄Part.I Introduction Ch.1 The Investment Environment Ch.2 Asset Classes and Financial Investments Ch.3 How Securities are Traded Ch.4 Mutual Funds and Other Investment Companies Part.II Portfolio Theory and Practice Ch.5 Learning About Return and Risk from the Historical Record Ch.6 Risk Aversion and Capital Allocation to Risky Assets Ch.7 Optimal Risky Portfolios Ch.8 Index Models Part.III Equilibrium in Capital Markets Ch.9 The Capital Asset Pricing Model Ch.10 Arbitrage Pricing Theory and Multifactor Models of Risk and Return Ch.11 The Efficient Market Hypothesis Ch.12 Behavioral Finance and Technical Analysis Ch.13 Empirical Evidence on Security Returns Part.IV Fixed-Income Securities Ch.14 Bond Prices and Yields Ch.15 The Term Structure of Interest Rates Ch.16 Managing Bond Portfolios Part.V Security Analysis Ch.17 Macroeconomic and Industry Analysis Ch.18 Equity Valuation Models Ch.19 Financial Statement Analysis Part.VI Options, Futures, and Other Derivatives Ch.20 Options Markets: Introduction Ch.21 Option Valuation Ch.22 Futures Markets Ch.23 Futures and Swaps: Markets and Applications Part.VII Applied Portfolio Management Ch.24 Portfolio Performance Evaluation Ch.25 International Diversification Ch.26 Investment Policy and the Framework of the CFA Institute Ch.27 Active Portfolio Management
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