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SET Collection. Asset allocation / Gibson, Roger C. / c2013
Collection Title: SET Collection Title : Asset allocation : balancing financial risk Material Type: printed text Authors: Gibson, Roger C., Author ; Sidoni, Christopher J., Author Edition statement: 5th ed. Publication Date: c2013 Pagination: xvi, 430 p. Layout: ill. Size: 24 cm. ISBN (or other code): 978-0-07-180418-9 Price: Gift. Languages : English (eng) Descriptors: [LCSH]Asset allocation
[LCSH]Portfolio management
[LCSH]Portfolio management -- Handbooks, manuals, etcKeywords: Asset allocation.
Portfolio management.Class number: HG4529.5 .G53 2013 Contents note: Foreword to the fifth edition -- Foreword to the first edition -- Acknowledgments -- Introduction -- The importance of asset allocation -- U.S. capital market investment performance: a historical review -- Comparative relationships among U.S. capital market investment alternatives -- Dispersion and the limits of prediction -- Market timing -- Time horizon -- A model for determining broad portfolio balance -- Diversification : the third dimension -- Expanding the efficient frontier -- The rewards of multiple-asset-class investing -- Portfolio optimization -- Know your client -- Managing client expectations -- Portfolio management -- Resolving problems encountered during implementation -- The global financial crisis of 2008 -- Conclusion -- Index Curricular : BBA/GE/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=23846 SET Collection. Asset allocation : balancing financial risk [printed text] / Gibson, Roger C., Author ; Sidoni, Christopher J., Author . - 5th ed. . - c2013 . - xvi, 430 p. : ill. ; 24 cm.
ISBN : 978-0-07-180418-9 : Gift.
Languages : English (eng)
Descriptors: [LCSH]Asset allocation
[LCSH]Portfolio management
[LCSH]Portfolio management -- Handbooks, manuals, etcKeywords: Asset allocation.
Portfolio management.Class number: HG4529.5 .G53 2013 Contents note: Foreword to the fifth edition -- Foreword to the first edition -- Acknowledgments -- Introduction -- The importance of asset allocation -- U.S. capital market investment performance: a historical review -- Comparative relationships among U.S. capital market investment alternatives -- Dispersion and the limits of prediction -- Market timing -- Time horizon -- A model for determining broad portfolio balance -- Diversification : the third dimension -- Expanding the efficient frontier -- The rewards of multiple-asset-class investing -- Portfolio optimization -- Know your client -- Managing client expectations -- Portfolio management -- Resolving problems encountered during implementation -- The global financial crisis of 2008 -- Conclusion -- Index Curricular : BBA/GE/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=23846 Hold
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Barcode Call number Media type Location Section Status 32002000397578 HG4529.5 .G53 2013 Book Main Library SET Corner Available SET Collection. Investments principles of portfolio / McMillan, Michael G. / John Wiley & Sons - c2011.
Collection Title: SET Collection Title : Investments principles of portfolio : and equity analysis Material Type: printed text Authors: McMillan, Michael G., Author Publisher: John Wiley & Sons Publication Date: c2011. Pagination: xxi, 620 p. Size: 26 cm. ISBN (or other code): 978-0-470-91580-6 Price: Gift. Languages : English (eng) Descriptors: [LCSH]Investment analysis
[LCSH]Portfolio managementKeywords: Portfolio management.
Investment analysis.Class number: HG4529.5 .I59 2011 Contents note: Market organization and structure.-- Security market indices.-- Market efficiency.-- Portfolio management an overview.-- Portfolio risk and return part 1.-- Portfolio risk and return part 2.-- Basics of portfolio planning and construction.-- Overview of equity securities.-- Introduction to industry and company analysis.-- Equity valuation concepts and basic tools.-- Equity market valuation.-- Technical analysis.-- Curricular : BBA/GE/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=23909 SET Collection. Investments principles of portfolio : and equity analysis [printed text] / McMillan, Michael G., Author . - Chichester : John Wiley & Sons, c2011. . - xxi, 620 p. ; 26 cm.
ISBN : 978-0-470-91580-6 : Gift.
Languages : English (eng)
Descriptors: [LCSH]Investment analysis
[LCSH]Portfolio managementKeywords: Portfolio management.
Investment analysis.Class number: HG4529.5 .I59 2011 Contents note: Market organization and structure.-- Security market indices.-- Market efficiency.-- Portfolio management an overview.-- Portfolio risk and return part 1.-- Portfolio risk and return part 2.-- Basics of portfolio planning and construction.-- Overview of equity securities.-- Introduction to industry and company analysis.-- Equity valuation concepts and basic tools.-- Equity market valuation.-- Technical analysis.-- Curricular : BBA/GE/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=23909 Hold
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Barcode Call number Media type Location Section Status 32002000398014 HG4529.5 .I59 2011 c.1 Book Main Library SET Corner Available 32002000398022 HG4529.5 .I59 2011 c.2 Book Main Library SET Corner Available SET Collection. Investments principles of portfolio / McMillan, Michael G. / John Wiley & Sons - c2011.
Collection Title: SET Collection Title : Investments principles of portfolio : and equity analysis workbook Material Type: printed text Authors: McMillan, Michael G., Author Publisher: John Wiley & Sons Publication Date: c2011. Pagination: viii, 134 p. Size: 134 cm. ISBN (or other code): 978-0-470-91582-0 Price: Gift. Languages : English (eng) Descriptors: [LCSH]Investment analysis
[LCSH]Portfolio managementKeywords: Portfolio management.
Investment analysis.Class number: HG4529.5 .I59 2011(w) Contents note: Part 1: Learning outcomes summary overview and problems.-- Part 2: Solution.-- Curricular : BBA/GE/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=23910 SET Collection. Investments principles of portfolio : and equity analysis workbook [printed text] / McMillan, Michael G., Author . - Chichester : John Wiley & Sons, c2011. . - viii, 134 p. ; 134 cm.
ISBN : 978-0-470-91582-0 : Gift.
Languages : English (eng)
Descriptors: [LCSH]Investment analysis
[LCSH]Portfolio managementKeywords: Portfolio management.
Investment analysis.Class number: HG4529.5 .I59 2011(w) Contents note: Part 1: Learning outcomes summary overview and problems.-- Part 2: Solution.-- Curricular : BBA/GE/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=23910 Hold
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Barcode Call number Media type Location Section Status 32002000397925 HG4529.5 .I59 2011 Workbook Book Main Library SET Corner Available SET Collection. Managing investment portfolios / Maginn, John L., / John Wiley & Sons - c2007
Collection Title: SET Collection Title : Managing investment portfolios : a dynamic process workbook Material Type: printed text Authors: Maginn, John L., (1940-), Author Edition statement: 3rd ed. Publisher: John Wiley & Sons Publication Date: c2007 Pagination: xxv, 932 p. Layout: ill. Size: 27 cm. ISBN (or other code): 978-0-470-10493-4 Price: Gift (1782.00) Languages : English (eng) Descriptors: [LCSH]Portfolio management Keywords: Portfolio.
Portfolio Management.Class number: HG4529.5 .M36 2007(w) Curricular : BBA/GE/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=23902 SET Collection. Managing investment portfolios : a dynamic process workbook [printed text] / Maginn, John L., (1940-), Author . - 3rd ed. . - Chichester : John Wiley & Sons, c2007 . - xxv, 932 p. : ill. ; 27 cm.
ISBN : 978-0-470-10493-4 : Gift (1782.00)
Languages : English (eng)
Descriptors: [LCSH]Portfolio management Keywords: Portfolio.
Portfolio Management.Class number: HG4529.5 .M36 2007(w) Curricular : BBA/GE/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=23902 Hold
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Barcode Call number Media type Location Section Status 32002000397974 HG4529.5 .M36 2007 Workbook Book Main Library SET Corner Available SIU IS. Fundamental and Intrinsic Value Analysis of Stock Market in Nepal: A case of Banking and Financial Institutions / Sandesh Bhusal / Bangkok: Shinawatra University - 2017
Collection Title: SIU IS Title : Fundamental and Intrinsic Value Analysis of Stock Market in Nepal: A case of Banking and Financial Institutions Material Type: printed text Authors: Sandesh Bhusal, Author ; Opas Piansoongnern, Author ; Niranjan Phuyal, Author Publisher: Bangkok: Shinawatra University Publication Date: 2017 Pagination: viii, 59 p. Layout: ill, Tables Size: 30 cm. Price: 500.00 General note: SIU IS: SOM-MBA-2017-N08
IS [MS. [MBA]] -- Shinawatra University, 2017Languages : English (eng) Descriptors: [LCSH]Bank and Banking
[LCSH]Portfolio management
[LCSH]Stock Market -- NepalKeywords: Dividend Discount model,
Intrinsic Value,
Portfolio Management,
Welch’s t- testAbstract: This research paper entitled “Fundamental and Intrinsic Value Analysis of Stock Market in Nepal- A case of BFIs” aims at understanding if the market prices of a stock reflect its underlying fundamentals.
In a seemingly volatile Nepali stock market, this research paper attempts to find if the market prices deviate from their fundamental values. The finding of this research is bound to be helpful to individual and institutional investors along with portfolio management service providers.
In order answer these questions, a sample of 20 BFIs are selected. The intrinsic value is calculated using the dividend discount model where future estimated dividends and estimated prices are discounted to present value. Welch’s t-test is used to determine if the market prices significantly deviate from the intrinsic
From the analyses it was concluded that market prices and intrinsic values do not significantly deviate from each other, i.e. the existing market prices do reflect their fundamental values at one point in time, regardless of the holding period of the investor.
This research paves way for other researches in this field; such as researches including lag and lead to find out if intrinsic value and market value coincide sometime in the future if not in the same point of time, or researches focusing on what other fundamental or non-fundamental factors can be attributed in explaining these deviations.
And finally, this research can be a helpful guide in making investment decisions for investors and investment companies when complemented with other relevant information.Curricular : BBA/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=27381 SIU IS. Fundamental and Intrinsic Value Analysis of Stock Market in Nepal: A case of Banking and Financial Institutions [printed text] / Sandesh Bhusal, Author ; Opas Piansoongnern, Author ; Niranjan Phuyal, Author . - [S.l.] : Bangkok: Shinawatra University, 2017 . - viii, 59 p. : ill, Tables ; 30 cm.
500.00
SIU IS: SOM-MBA-2017-N08
IS [MS. [MBA]] -- Shinawatra University, 2017
Languages : English (eng)
Descriptors: [LCSH]Bank and Banking
[LCSH]Portfolio management
[LCSH]Stock Market -- NepalKeywords: Dividend Discount model,
Intrinsic Value,
Portfolio Management,
Welch’s t- testAbstract: This research paper entitled “Fundamental and Intrinsic Value Analysis of Stock Market in Nepal- A case of BFIs” aims at understanding if the market prices of a stock reflect its underlying fundamentals.
In a seemingly volatile Nepali stock market, this research paper attempts to find if the market prices deviate from their fundamental values. The finding of this research is bound to be helpful to individual and institutional investors along with portfolio management service providers.
In order answer these questions, a sample of 20 BFIs are selected. The intrinsic value is calculated using the dividend discount model where future estimated dividends and estimated prices are discounted to present value. Welch’s t-test is used to determine if the market prices significantly deviate from the intrinsic
From the analyses it was concluded that market prices and intrinsic values do not significantly deviate from each other, i.e. the existing market prices do reflect their fundamental values at one point in time, regardless of the holding period of the investor.
This research paves way for other researches in this field; such as researches including lag and lead to find out if intrinsic value and market value coincide sometime in the future if not in the same point of time, or researches focusing on what other fundamental or non-fundamental factors can be attributed in explaining these deviations.
And finally, this research can be a helpful guide in making investment decisions for investors and investment companies when complemented with other relevant information.Curricular : BBA/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=27381 Hold
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Barcode Call number Media type Location Section Status 32002000595478 SIU IS: SOM-MBA-2017-N08 SIU Independent Study Graduate Library Thesis Corner Available SIU IS. Portfolio Management on Profitability from Nepalese Commercial Bank / Sujina Shakya / Bangkok: Shinawatra University - 2016
Collection Title: SIU IS Title : Portfolio Management on Profitability from Nepalese Commercial Bank Material Type: printed text Authors: Sujina Shakya, Author ; Choakchai Eaimrittikrai, Associated Name ; Ramji Gautam, Associated Name Publisher: Bangkok: Shinawatra University Publication Date: 2016 Pagination: viii, 63 p. Layout: ill, Tables Size: 30 cm. Price: 500.00 General note: SIU IS: SOM-MBA-2016-N24
IS [MS. [MBA]] -- Shinawatra University, 2016Languages : English (eng) Descriptors: [LCSH]Banks and banking -- Nepal
[LCSH]Portfolio managementAbstract: This study examines the portfolio management on profitability from Nepalese commercial banks. Here I have chosen two different commercial banks i.e. Standard Chartered Bank and Nepal Investment Bank and compared their portfolios accordingly.
Investment means the sacrifice of current money to increase future money. Generally when cash is needed, investment can be retired .In investment, two attributes are generally involved: time and risk. Risk is the fluctuation of actual returns and expected return. The sacrifice takes place in the present and is certain. This study is about two banks that manage the portfolio. It helps both practitioner and academics to understand present situation commercial bank regarding portfolio. The study will help commercial banks to minimize risk on investment and maximize return through portfolio analysis. It is important for governemnt bodies and policymakers such as central bank, interested outide parties such as investors, customers, competitors ans personnel of banks, stockbrokers and market makers.
The study is mainly based on secondary data. Data are collected from concern bank Nepal Rastra Bank, NEPSE, SEBON and various libraries. Likewise, the micro-level data have been derived the different libraries. Furthermore, several data and information are gathered from periodicals, economic journals and the other published and unpublished reports. Informal interview with the authorities of related institutions are also the other sources of data.Curricular : BBA/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=26947 SIU IS. Portfolio Management on Profitability from Nepalese Commercial Bank [printed text] / Sujina Shakya, Author ; Choakchai Eaimrittikrai, Associated Name ; Ramji Gautam, Associated Name . - [S.l.] : Bangkok: Shinawatra University, 2016 . - viii, 63 p. : ill, Tables ; 30 cm.
500.00
SIU IS: SOM-MBA-2016-N24
IS [MS. [MBA]] -- Shinawatra University, 2016
Languages : English (eng)
Descriptors: [LCSH]Banks and banking -- Nepal
[LCSH]Portfolio managementAbstract: This study examines the portfolio management on profitability from Nepalese commercial banks. Here I have chosen two different commercial banks i.e. Standard Chartered Bank and Nepal Investment Bank and compared their portfolios accordingly.
Investment means the sacrifice of current money to increase future money. Generally when cash is needed, investment can be retired .In investment, two attributes are generally involved: time and risk. Risk is the fluctuation of actual returns and expected return. The sacrifice takes place in the present and is certain. This study is about two banks that manage the portfolio. It helps both practitioner and academics to understand present situation commercial bank regarding portfolio. The study will help commercial banks to minimize risk on investment and maximize return through portfolio analysis. It is important for governemnt bodies and policymakers such as central bank, interested outide parties such as investors, customers, competitors ans personnel of banks, stockbrokers and market makers.
The study is mainly based on secondary data. Data are collected from concern bank Nepal Rastra Bank, NEPSE, SEBON and various libraries. Likewise, the micro-level data have been derived the different libraries. Furthermore, several data and information are gathered from periodicals, economic journals and the other published and unpublished reports. Informal interview with the authorities of related institutions are also the other sources of data.Curricular : BBA/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=26947 Hold
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Barcode Call number Media type Location Section Status 32002000594422 SIU IS: SOM-MBA-2016-N24 c.1 SIU Independent Study Graduate Library Thesis Corner Available Analysis investments / brown Keith C / South-Western Cengage Learning - c2012
Title : Analysis investments : and management of portfolios Material Type: printed text Authors: brown Keith C, Author ; Reilly, Frank K., Author Edition statement: 10th Publisher: South-Western Cengage Learning Publication Date: c2012 Pagination: xxvi, 1066 p. Layout: table, graph Size: 26 cm. ISBN (or other code): 978-0-538-48248-6 Languages : English (eng) Descriptors: [LCSH]Investment
[LCSH]Investment analysis
[LCSH]Portfolio managementKeywords: Investment.
Portfolio management.
Investment analysis.Class number: HG4521 R27 2012 Contents note: Part 1: The investment background.-- Part 2: Development in investment theory.-- Part 3: Valuation principle and practices.-- Part 4: Analysis and management of common stocks.--
Part 5: Analysis and mangement of bonds.-- Part 6: Derivative security analysis.-- Part 7: Specification and evaluation asset management.--Curricular : BBA/MBA/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=21172 Analysis investments : and management of portfolios [printed text] / brown Keith C, Author ; Reilly, Frank K., Author . - 10th . - Mason, Ohio : South-Western Cengage Learning, c2012 . - xxvi, 1066 p. : table, graph ; 26 cm.
ISBN : 978-0-538-48248-6
Languages : English (eng)
Descriptors: [LCSH]Investment
[LCSH]Investment analysis
[LCSH]Portfolio managementKeywords: Investment.
Portfolio management.
Investment analysis.Class number: HG4521 R27 2012 Contents note: Part 1: The investment background.-- Part 2: Development in investment theory.-- Part 3: Valuation principle and practices.-- Part 4: Analysis and management of common stocks.--
Part 5: Analysis and mangement of bonds.-- Part 6: Derivative security analysis.-- Part 7: Specification and evaluation asset management.--Curricular : BBA/MBA/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=21172 Hold
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Barcode Call number Media type Location Section Status 32002000327831 HG4521 R27 2012 Book Graduate Library General Shelf Available 32002000398006 HG4521 R27 2012 c.2 Book Main Library SET Corner Available Bond markets, analysis, and strategies / Fabozzi, Frank J. / Prentice Hall - 2000
Title : Bond markets, analysis, and strategies Material Type: printed text Authors: Fabozzi, Frank J., Author Edition statement: 4th ed. Publisher: Prentice Hall Publication Date: 2000 Pagination: xvi, 606 p. Layout: ill., pbk. Size: 24 cm. ISBN (or other code): 0130859133 Price: 845 Baht Languages : English (eng) Descriptors: [LCSH]Bond market
[LCSH]Bonds
[LCSH]Investment analysis
[LCSH]Portfolio managementCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=4201 Bond markets, analysis, and strategies [printed text] / Fabozzi, Frank J., Author . - 4th ed. . - Upper Saddle River, NJ : Prentice Hall, 2000 . - xvi, 606 p. : ill., pbk. ; 24 cm.
ISBN : 0130859133 : 845 Baht
Languages : English (eng)
Descriptors: [LCSH]Bond market
[LCSH]Bonds
[LCSH]Investment analysis
[LCSH]Portfolio managementCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=4201 Hold
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Barcode Call number Media type Location Section Status 32002000057982 HG4651 F28 2000 c.2 Book Main Library General Shelf Available 32002000057974 HG4651 F28 2000 c.1 Book Main Library Library Counter Available Bond markets, analysis, / Fabozzi, Frank J. / c2013
Title : Bond markets, analysis, : and strategies Material Type: printed text Authors: Fabozzi, Frank J., Author Edition statement: 8th ed. Publication Date: c2013 Pagination: 743 p. Size: 28 cm. ISBN (or other code): 978-0-273-76613-1 Price: Gift. Languages : English (eng) Descriptors: [LCSH]Bonds
[LCSH]Bonds -- Handbooks, manuals, etc
[LCSH]Portfolio managementKeywords: Bonds.
Investment analysis.
Portfolio management.
Bond market.Class number: HG4651 .F28 2013 Contents note: Introduction -- Pricing of bonds -- Measuring yield -- Bond price volatility -- Factors affecting bond yields and the term structure of interest rates -- Treasury and federal agency securities -- Corporate debt instruments -- Municipal securities -- International bonds -- Residential mortgage loans -- Agency mortgage pass-through securities -- Agency collateralized mortgage obligations and stripped mortgage-backed securities -- Nonagency residential mortgage-backed securities -- Commercial mortgage loans and commercial mortgage-backed securities -- Asset-backed securities -- Interest-rate models -- Analysis of bonds with embedded options -- Analysis of residential mortgage-backed securities -- Analysis of convertible bonds -- Corporate bond credit analysis -- Credit risk modeling -- Bond portfolio management strategies -- Bond portfolio construction -- Liability-driven strategies -- Bond performance measurement and evaluation -- Interest-rate futures contracts -- Interest-rate options -- Interest-rate swaps, caps, and floors -- Credit default swaps-- Curricular : BBA/GE/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=23886 Bond markets, analysis, : and strategies [printed text] / Fabozzi, Frank J., Author . - 8th ed. . - c2013 . - 743 p. ; 28 cm.
ISBN : 978-0-273-76613-1 : Gift.
Languages : English (eng)
Descriptors: [LCSH]Bonds
[LCSH]Bonds -- Handbooks, manuals, etc
[LCSH]Portfolio managementKeywords: Bonds.
Investment analysis.
Portfolio management.
Bond market.Class number: HG4651 .F28 2013 Contents note: Introduction -- Pricing of bonds -- Measuring yield -- Bond price volatility -- Factors affecting bond yields and the term structure of interest rates -- Treasury and federal agency securities -- Corporate debt instruments -- Municipal securities -- International bonds -- Residential mortgage loans -- Agency mortgage pass-through securities -- Agency collateralized mortgage obligations and stripped mortgage-backed securities -- Nonagency residential mortgage-backed securities -- Commercial mortgage loans and commercial mortgage-backed securities -- Asset-backed securities -- Interest-rate models -- Analysis of bonds with embedded options -- Analysis of residential mortgage-backed securities -- Analysis of convertible bonds -- Corporate bond credit analysis -- Credit risk modeling -- Bond portfolio management strategies -- Bond portfolio construction -- Liability-driven strategies -- Bond performance measurement and evaluation -- Interest-rate futures contracts -- Interest-rate options -- Interest-rate swaps, caps, and floors -- Credit default swaps-- Curricular : BBA/GE/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=23886 Hold
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Barcode Call number Media type Location Section Status 32002000397891 HG4651 .F28 2013 Book Main Library SET Corner Available Dynamic asset pricing theory / Duffie, Darrell / Princeton University Press - 2001
Title : Dynamic asset pricing theory Material Type: printed text Authors: Duffie, Darrell, Author Edition statement: 3rd ed. Publisher: Princeton University Press Publication Date: 2001 Pagination: xix, 465 p. Layout: ill., hbk. Size: 25 cm. ISBN (or other code): 069109022X Price: 3350 Baht Languages : English (eng) Descriptors: [LCSH]Capital assets pricing model
[LCSH]Portfolio management
[LCSH]UncertaintyCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=4183 Dynamic asset pricing theory [printed text] / Duffie, Darrell, Author . - 3rd ed. . - Princeton, NJ : Princeton University Press, 2001 . - xix, 465 p. : ill., hbk. ; 25 cm.
ISBN : 069109022X : 3350 Baht
Languages : English (eng)
Descriptors: [LCSH]Capital assets pricing model
[LCSH]Portfolio management
[LCSH]UncertaintyCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=4183 Hold
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Barcode Call number Media type Location Section Status 32002000066488 HG4637 D84 2001 c.1 Book Graduate Library General Shelf Available 32002000066496 HG4637 D84 2001 c.2 Book Main Library General Shelf Available Expectations investing / Rappaport, Alfred / Boston : Harvard Business School Press - 2001
Title : Expectations investing : reading stock prices for better returns Material Type: printed text Authors: Rappaport, Alfred, Author ; Mauboussin, Michael J. (1964-), Associated Name Publisher: Boston : Harvard Business School Press Publication Date: 2001 Pagination: xx, 224 p. Layout: hbk. Size: 24 cm. ISBN (or other code): 1578512522 Languages : English (eng) Descriptors: [LCSH]Investment analysis
[LCSH]Portfolio management
[LCSH]Stocks -- PricesCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=697 Expectations investing : reading stock prices for better returns [printed text] / Rappaport, Alfred, Author ; Mauboussin, Michael J. (1964-), Associated Name . - Boston : Harvard Business School Press, 2001 . - xx, 224 p. : hbk. ; 24 cm.
ISBN : 1578512522
Languages : English (eng)
Descriptors: [LCSH]Investment analysis
[LCSH]Portfolio management
[LCSH]Stocks -- PricesCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=697 Hold
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Barcode Call number Media type Location Section Status 32002000001543 HG4529 R37 2001 c.1 Book Graduate Library General Shelf Available 32002000021111 HG4529 R37 2001 c.2 Book Graduate Library General Shelf Available 32002000021103 HG4529 R37 2001 c.3 Book Main Library General Shelf Available 32002000038594 HG4529 R37 2001 c.4 Book Main Library General Shelf Available The global trader / Rockefeller, Barbara / New York : John Wiley & Sons - 2002
Title : The global trader : strategies for profiting in foreign exchange, futures, and stocks Material Type: printed text Authors: Rockefeller, Barbara (1946-), Author Publisher: New York : John Wiley & Sons Publication Date: 2002 Series: Wiley trading Pagination: xii, 256 p. Layout: ill., cloth Size: 24 cm. ISBN (or other code): 0471435856 General note: Includes index. Languages : English (eng) Descriptors: [LCSH]Financial futures
[LCSH]Foreign exchange
[LCSH]Investments, Foreign
[LCSH]Portfolio managementCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=830 The global trader : strategies for profiting in foreign exchange, futures, and stocks [printed text] / Rockefeller, Barbara (1946-), Author . - , 2002 . - xii, 256 p. : ill., cloth ; 24 cm.. - (Wiley trading) .
ISBN : 0471435856
Includes index.
Languages : English (eng)
Descriptors: [LCSH]Financial futures
[LCSH]Foreign exchange
[LCSH]Investments, Foreign
[LCSH]Portfolio managementCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=830 Hold
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Barcode Call number Media type Location Section Status 32002000022150 HG4538 R5767 2002 c.1 Book Graduate Library General Shelf Available 32002000022168 HG4538 R5767 2002 c.2 Book Graduate Library General Shelf Available 32002000032456 HG4538 R5767 2002 c.3 Book Main Library General Shelf Available The handbook of alternative investments / Jobman, Darrell R. / New York : John Wiley & Sons - 2002
Title : The handbook of alternative investments Material Type: printed text Authors: Jobman, Darrell R., Author Publisher: New York : John Wiley & Sons Publication Date: 2002 Pagination: xi, 232 p. Layout: ill., cloth : alk. paper Size: 24 cm. ISBN (or other code): 0471418609 Price: 3438 Baht General note: Series from jacket. Languages : English (eng) Descriptors: [LCSH]Asset allocation
[LCSH]Investment analysis
[LCSH]Investments
[LCSH]Portfolio managementCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=1455 The handbook of alternative investments [printed text] / Jobman, Darrell R., Author . - New York : John Wiley & Sons, 2002 . - xi, 232 p. : ill., cloth : alk. paper ; 24 cm.
ISBN : 0471418609 : 3438 Baht
Series from jacket.
Languages : English (eng)
Descriptors: [LCSH]Asset allocation
[LCSH]Investment analysis
[LCSH]Investments
[LCSH]Portfolio managementCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=1455 Hold
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Barcode Call number Media type Location Section Status 32002000028728 HG4529.5 H364 2002 Book Main Library General Shelf Available Investment analysis and portfolio management / Reilly, Frank K. / South-Western/Thomson Learning - 2000
Title : Investment analysis and portfolio management Material Type: printed text Authors: Reilly, Frank K., Author ; Brown, Keith C., Associated Name Edition statement: 6th ed. Publisher: South-Western/Thomson Learning Publication Date: 2000 Pagination: 1242 p. col. Layout: ill., hbk. Size: 27 cm. ISBN (or other code): 003025809X Price: 5366 Baht Languages : English (eng) Descriptors: [LCSH]Investment analysis
[LCSH]Investments
[LCSH]Portfolio managementCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=3488 Investment analysis and portfolio management [printed text] / Reilly, Frank K., Author ; Brown, Keith C., Associated Name . - 6th ed. . - U.S. : South-Western/Thomson Learning, 2000 . - 1242 p. col. : ill., hbk. ; 27 cm.
ISBN : 003025809X : 5366 Baht
Languages : English (eng)
Descriptors: [LCSH]Investment analysis
[LCSH]Investments
[LCSH]Portfolio managementCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=3488 Hold
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Barcode Call number Media type Location Section Status 32002000031565 HG4521 R396 2000 Book Graduate Library General Shelf Available Investment management / Lofthouse, Stephen / Wiley - 2001
Title : Investment management Material Type: printed text Authors: Lofthouse, Stephen, Author ; Lofthouse, Stephen, Associated Name Edition statement: 2nd ed. Publisher: Wiley Publication Date: 2001 Pagination: x, 589 p. Layout: ill., pbk. Size: 25 cm. ISBN (or other code): 047149237X Price: 2585 Baht General note: Rev. ed. of: Equity investment management / Stephen Lofthouse. [c1994] Languages : English (eng) Descriptors: [LCSH]Investment analysis
[LCSH]Portfolio managementCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=593 Investment management [printed text] / Lofthouse, Stephen, Author ; Lofthouse, Stephen, Associated Name . - 2nd ed. . - Chichester, West Sussex, England, New York : Wiley, 2001 . - x, 589 p. : ill., pbk. ; 25 cm.
ISBN : 047149237X : 2585 Baht
Rev. ed. of: Equity investment management / Stephen Lofthouse. [c1994]
Languages : English (eng)
Descriptors: [LCSH]Investment analysis
[LCSH]Portfolio managementCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=593 Hold
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Barcode Call number Media type Location Section Status 32002000015055 HG4529.5 L63 2001 c.1 Book Graduate Library General Shelf Available 32002000015063 HG4529.5 L63 2001 c.2 Book Main Library General Shelf Available