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Introduction to Practical Investing 2
The Measurement of Return and Risk 12
The Measurement of Risk
44 other sections not shown
analysis arbitrage assume banks beta bond prices bond valuation broker call option CAPM cash flows chapter common stock corporate correlation cost debt discount discount bond diversification Dividend Valuation Model earnings economic efficient efficient markets hypothesis equal equity example exercise price expected return expiration firm firm's forecast forward rates futures contract futures market futures price gold graph growth rate important income increase indicates industry inflation interest rates Investmaster investment bankers investment company investor issue issuer loan market portfolio maturity money market mortgage mutual funds NYSE payment performance period premium profit put option rate of interest relationship risk-free asset risky portfolio screen securities markets sell share shown in Figure shows Source Standard & Poor's standard deviation Stock Exchange stock market stock price strategy Table tion trading transaction Treasury variables Wall Street Journal yield curve