Investment Analysis and Portfolio Management 11th Edition Reilly Test Bank

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Investment Analysis and Portfolio Management 11th Edition Reilly Test Bank.

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Product Details:

  • ISBN-10 ‏ : ‎ 1305262999
  • ISBN-13 ‏ : ‎ 978-1305262997
  • Author: Frank K. ReillyKeith C. BrownSanford J. Leeds 

Table of contents:

  1. Part 1: The Investment Background
  2. Chapter 1: The Investment Setting
  3. What Is an Investment?
  4. Investment Defined
  5. Measures of Return and Risk
  6. Measures of Historical Rates of Return
  7. Computing Mean Historical Returns
  8. Calculating Expected Rates of Return
  9. Measuring the Risk of Expected Rates of Return
  10. Risk Measures for Historical Returns
  11. Determinants of Required Rates of Return
  12. The Real Risk-Free Rate
  13. Factors Influencing the Nominal Risk-Free Rate (NRFR)
  14. Risk Premium
  15. Risk Premium and Portfolio Theory
  16. Fundamental Risk versus Systematic Risk
  17. Summary of Required Rate of Return
  18. Relationship between Risk and Return
  19. Movements along the SML
  20. Changes in the Slope of the SML
  21. Changes in Capital Market Conditions or Expected Inflation
  22. Summary of Changes in the Required Rate of Return
  23. Chapter 1 Appendix: Computation of Variance and Standard Deviation
  24. Chapter 2: Asset Allocation and Security Selection
  25. Individual Investor Life Cycle
  26. The Preliminaries
  27. Investment Strategies over an Investor’s Lifetime
  28. Life Cycle Investment Goals
  29. The Portfolio Management Process
  30. The Need for a Policy Statement
  31. Understanding and Articulating Realistic Investor Goals
  32. Standards for Evaluating Portfolio Performance
  33. Other Benefits
  34. Input to the Policy Statement
  35. Investment Objectives
  36. Investment Constraints
  37. Constructing the Policy Statement
  38. General Guidelines
  39. Some Common Mistakes
  40. The Importance of Asset Allocation
  41. Investment Returns after Taxes and Inflation
  42. Returns and Risks of Different Asset Classes
  43. Asset Allocation Summary
  44. The Case for Global Investments
  45. Relative Size of U.S. Financial Markets
  46. Rates of Return on U.S. and Foreign Securities
  47. Risk of Diversified Country Investments
  48. Historical Risk-Returns on Alternative Investments
  49. World Portfolio Performance
  50. Art and Antiques
  51. Real Estate
  52. Chapter 2 Appendix:
  53. A. Covariance
  54. B. Correlation
  55. Chapter 3: Organization and Functioning of Securities Markets

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