Publisher description
This rewritten and expanded edition introduces the general reader and the student to the principles of investment and portfolio management. Avoiding academic technicalities and mathematics, it nevertheless covers legal and theorectical developments. The book should be equally useful to individual investors, accountants and bankers. Students should find it the ideal introduction to stock price movements and risk analysis. Individual chapters explain random walks, the behaviour of earnings, risk measurement, forecasting and portfolio selection. Particularly valuable are the chapters showing how professionals "beat" the market, and how to measure and evaluate your own investment performance
More books by Richard A. Brealey
Similar books
Rate the book
Write a review and share your opinion with others. Try to focus on the content of the book. Read our instructions for further information.
An Introduction to Risk and Return from Common Stocks
Book reviews » An Introduction to Risk and Return from Common Stocks
|
|
![An Introduction to Risk and Return from Common Stocks](/images/background.gif) |
![An Introduction to Risk and Return from Common Stocks](/images/background.gif) |
|
|
|