Investment Analysis and Portfolio Management 11th Edition Reilly Test Bank
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Product Details:
- ISBN-10 : 1305262999
- ISBN-13 : 978-1305262997
- Author:
Table of contents:
- Part 1: The Investment Background
- Chapter 1: The Investment Setting
- What Is an Investment?
- Investment Defined
- Measures of Return and Risk
- Measures of Historical Rates of Return
- Computing Mean Historical Returns
- Calculating Expected Rates of Return
- Measuring the Risk of Expected Rates of Return
- Risk Measures for Historical Returns
- Determinants of Required Rates of Return
- The Real Risk-Free Rate
- Factors Influencing the Nominal Risk-Free Rate (NRFR)
- Risk Premium
- Risk Premium and Portfolio Theory
- Fundamental Risk versus Systematic Risk
- Summary of Required Rate of Return
- Relationship between Risk and Return
- Movements along the SML
- Changes in the Slope of the SML
- Changes in Capital Market Conditions or Expected Inflation
- Summary of Changes in the Required Rate of Return
- Chapter 1 Appendix: Computation of Variance and Standard Deviation
- Chapter 2: Asset Allocation and Security Selection
- Individual Investor Life Cycle
- The Preliminaries
- Investment Strategies over an Investor’s Lifetime
- Life Cycle Investment Goals
- The Portfolio Management Process
- The Need for a Policy Statement
- Understanding and Articulating Realistic Investor Goals
- Standards for Evaluating Portfolio Performance
- Other Benefits
- Input to the Policy Statement
- Investment Objectives
- Investment Constraints
- Constructing the Policy Statement
- General Guidelines
- Some Common Mistakes
- The Importance of Asset Allocation
- Investment Returns after Taxes and Inflation
- Returns and Risks of Different Asset Classes
- Asset Allocation Summary
- The Case for Global Investments
- Relative Size of U.S. Financial Markets
- Rates of Return on U.S. and Foreign Securities
- Risk of Diversified Country Investments
- Historical Risk-Returns on Alternative Investments
- World Portfolio Performance
- Art and Antiques
- Real Estate
- Chapter 2 Appendix:
- A. Covariance
- B. Correlation
- Chapter 3: Organization and Functioning of Securities Markets
…
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