Request for consultation
Your form is submitting...
Overview
Used extensively by professionals, organizations and schools across the country, Reilly/Brown/Leeds' INVESTMENT ANALYSIS AND PORTFOLIO MANAGEMENT, 11th Edition, combines solid theory with practical applications to help students learn how to manage their money to maximize their earning potential. Now streamlined into a succinct 18 chapters, the text has been thoroughly revised to present content that is vital to a thorough understanding of investment management in the most effective way. It uses real-world illustrations and hands-on exercises to bring investment concepts to life for students. The 11th edition continues its tradition of unparalleled international coverage. It also offers expanded discussions of the impact of changes in both technology and regulations on the functioning and organization of global security markets and devotes three chapters to derivatives securities.
- Revamped TOC: The 11th edition has been thoroughly updated, revised and streamlined into a succinct 18 chapters. Information has been condensed, reworded and rearranged to ensure content that is vital to a thorough understanding of investment management is presented in the most effective way. For example, the section on equity valuation and management that previously spanned six separate chapters is now contained in Chapters 8-11.
- Unrivaled Domestic and Global Insight: The 11th edition continues its tradition of unparalleled international coverage. Investing knows no borders, and while the total integration of domestic and global investment opportunities may seem to contradict the need for separate discussions of international issues, it actually makes the need for specific information on non-U.S. markets, instruments, conventions and techniques even more compelling--and this text delivers with comprehensive coverage.
- Expanded Tech/Reg Coverage: Both technology and regulations have caused more significant changes in the functioning and organization of global security markets in the last decade than in the prior 50 years. Chapter 3 provides a detailed discussion of this evolution and the results for global markets, while Chapter 2 describes how specific security innovations and asset allocation practices have been affected by these changes.
- Derivative Securities Emphasis: In today's market, derivative securities are not exotic anomalies but standard investment instruments--a reality reflected in the 11th edition. Three entire chapters are devoted to derivatives, equipping readers with intuitive, clear discussions of the different instruments, their markets, valuation, trading strategies and general use as risk management and return enhancement tools.
- Ethics Emphasis: Insightful discussions of codes of ethics highlight the importance--and sometimes lack--of ethics in today's financial markets, prompting students to examine and shore up their personal principles and values and make the important decisions well before they actually have to face them.
- Concise Presentation: More streamlined than ever, the 11th edition delivers comprehensive yet succinct coverage, providing just the right amount of detail to ensure solid student understanding while giving you the flexibility to cover more ground in the span of the course.
- Global Perspective: INVESTMENT ANALYSIS AND PORTFOLIO MANAGEMENT, 11th edition, continues to lead the market with the most comprehensive coverage of international issues available.
2. Asset Allocation and Security Selection.
3. Organization and Functioning of Securities Markets.
4. Security Market Indexes and Index Funds.
5. Efficient Capital Markets, Behavioral Finance and Technical Analysis.
6. Introduction to Portfolio Management.
7. Asset Pricing Models.
8. Introduction to Financial Statement and Security Analysis.
9. Stock Market and Industry Analysis.
10. Company Analysis.
11. Equity Portfolio Management Strategies.
12. Bond Fundamentals and Valuation.
13. Bond Analysis and Portfolio Management Strategies.
14. Introduction to Derivative Markets and Securities.
15. Forward, Futures and Swap Contracts.
16. Option Contracts and Other Embedded Derivatives.
17. Active Portfolio Management, Alternative Assets and Industry Ethics.
18. Evaluation of Portfolio Performance.
Cengage provides a range of supplements that are updated in coordination with the main title selection. For more information about these supplements, contact your Learning Consultant.
FOR INSTRUCTORS
MindTap Finance, 2 terms (12 months) Instant Access for Reilly/Brown/Leeds' Investment Analysis and Portfolio Management
ISBN: 9781337684293
MindTap Finance for Reilly/Brown/Leeds' INVESTMENT ANALYSIS AND PORTFOLIO MANAGEMENT is the digital learning solution that powers students from memorization to mastery. It gives you complete control of your course--to provide engaging content, to challenge every individual and to build their confidence. Empower students to accelerate their progress with MindTap. MindTap: Powered by You.
MindTap gives you complete ownership of your content and learning experience. Customize the interactive syllabi, emphasize the most important topics and add your own material or notes in the ebook.
FOR STUDENTS
MindTap Finance, 2 terms (12 months) Instant Access for Reilly/Brown/Leeds' Investment Analysis and Portfolio Management
ISBN: 9781337684293
MindTap Finance for Reilly/Brown/Leeds' INVESTMENT ANALYSIS AND PORTFOLIO MANAGEMENT is the digital learning solution that powers students from memorization to mastery. It gives you complete control of your course--to provide engaging content, to challenge every individual and to build their confidence. Empower students to accelerate their progress with MindTap. MindTap: Powered by You.
MindTap gives you complete ownership of your content and learning experience. Customize the interactive syllabi, emphasize the most important topics and add your own material or notes in the ebook.