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  <titleInfo>
    <title>Investment analysis &amp; portfolio management</title>
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  <titleInfo type="alternative">
    <title>Investment analysis and portfolio management</title>
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  <name type="personal">
    <namePart>Reilly, Frank K.</namePart>
    <role>
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    <role>
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  <name type="personal">
    <namePart>Brown, Keith C.</namePart>
    <role>
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    </role>
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  <name type="personal">
    <namePart>Leeds, Sanford J.</namePart>
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    <place>
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    <publisher>Cengage</publisher>
    <dateIssued>c2019</dateIssued>
    <dateIssued encoding="marc" point="start">2019</dateIssued>
    <dateIssued encoding="marc" point="end">2012</dateIssued>
    <edition>Eleventh edition.</edition>
    <issuance>monographic</issuance>
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  <language>
    <languageTerm authority="iso639-2b" type="code">eng</languageTerm>
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  <physicalDescription>
    <extent>xxiii, 786 pages : colored illustrations ; 26 cm. </extent>
  </physicalDescription>
  <abstract>"Learn to manage your money to maximize your earning potential with Reilly/Brown/Leeds' INVESTMENT ANALYSIS AND PORTFOLIO MANAGEMENT, 11th Edition. Extremely reader friendly in a succinct 18 chapters, this text equips you with a solid understanding of investment instruments, capital markets, behavioral finance, hedge funds, international investing and much more. Real-world examples and hands-on applications bring chapter concepts to life as you learn to use the same tools as investment professionals. The 11th edition's unparalleled international coverage provides specific information on non-U.S. markets, instruments, conventions and techniques. New detailed discussions explain the impact of changes in both technology and regulations on global security markets. In addition, three chapters are devoted to derivatives securities--which are now standard investment instruments."  --Provided by the publisher</abstract>
  <tableOfContents>Part 1 The investment background --  Chapter 1 The investment setting -- Chapter 2 Asset allocation and security selection -- Chapter 3 Organization and functioning of securities markets -- Chapter 4 Security market indexes and index funds -- Part 2 Developments in investment theory -- Chapter 5 Efficient capital markets, behavioral finance, and technical analysis -- Chapter 6 An introduction to portfolio management -- Chapter 7 Asset pricing models -- Part 3 Valuation and management of common stocks -- Chapter 8 Equity valuation -- Chapter 9 The top-down approach to market, industry, and company analysis -- Chapter 10 The practice of fundament investing -- Chapter 11 Equity portfolio management strategies -- Part 4 Valuation and management of bonds -- Chapter 12 Bond fundamentals and valuation -- Chapter 13 Bond analysis and portfolio mangement strategies -- Part 5 Derivative security analysis -- Chapter 14 An introduction to derivative markets and securities -- Chapter 15 Forward, futures, and swap contracts -- Chapter 16 Option contracts -- Part 6 Analysis and evaluation of asset management -- Chapter 17 Professional portfolio management, alternative assets, and industry ethics -- Chapter 18 Evaluation of portfolio performance.</tableOfContents>
  <note type="statement of responsibility">Frank K. Reilly, Keith C. Brown, Sanford J. Leeds.</note>
  <note>Includes bibliographical references and index.</note>
  <note>Biore, Christopher College of Business and Accountancy Business / Management</note>
  <note>Text in English</note>
  <subject>
    <topic>Portfolio management</topic>
  </subject>
  <subject>
    <topic>Investment analysis</topic>
  </subject>
  <subject>
    <topic>Investments</topic>
  </subject>
  <identifier type="isbn">9781305262997 [hardbound]</identifier>
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    <recordCreationDate encoding="marc">251222</recordCreationDate>
    <recordChangeDate encoding="iso8601">20260106162646.0</recordChangeDate>
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