NOTES PERTAINING TO TITLE AND STATEMENT OF RESPONSIBILITY
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Charles P. Jones, Ph.D., CFA, Gerlad R. Jenson, Ph.D., CFA
NOTES PERTAINING TO EDITION AND BIBLIOGRAPHIC HISTORY
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Thirteenth Edition
CONTENTS NOTE
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Machine generated contents note: PART ONE BACKGROUND 1: Understanding Investments 2: Investment Alternatives 3: Indirect Investing 4: Securities Markets and Market Indices 5: How Securities are Traded PART TWO PORTFOLIO AND CAPITAL MARKET THEORY 6: The Returns and Risks from Investing 7: Portfolio Theory 8: Portfolio Selection and Asset Allocation 9: Capital Market Theory and Asset Pricing Models PART THREE COMMON STOCKS: ANALYSIS, VALUATION, AND MANAGEMENT 01: Common Stock Valuation 11: Common Stocks: Analysis and Strategy 21: Market Efficiency PART FOUR SECURITY ANALYSIS 31: Economy/Market Analysis 41: Sector/Industry Analysis 51: Company Analysis 61: Technical Analysis PART FIVE FIXED-INCOME SECURITIES: ANALYSIS, VALUATION, AND MANAGEMENT 71: Bond Yields and Prices 81: Bonds: Analysis and Strategy PART SIX DERIVATIVE SECURITIES 91: Options 02: Futures Contracts PART SEVEN INVESTMENT MANAGEMENT 12: Managing Your Financial Assets 22: Evaluation of Investment Performance