
Investments, with eBook Access Code
Analysis and Management
Wiley (Publisher)
15th Edition
Published on 8. May 2025
Book
Paperback/Softback
640 pages
978-1-394-24378-5 (ISBN)
Description
Explains the essentials of investing and develops the analytical skills necessary for evaluating investment issues
More than a simple introduction to the subject, Investments: Analysis and Management prepares students to tackle real-world investment problems and controversies using a systematic, highly practical approach. Emphasizing clarity and readability, authors Gerald Jensen and Tyler Jensen minimize complex formulas and simplify difficult material, enabling students of all levels and backgrounds to follow the entire discussion and further explore the subject.
Carefully organized chapters guide students through fundamental investing concepts, portfolio theory, common stock analysis and valuation, fixed-income and derivative securities, the essentials of security analysis and portfolio management, and more. A full complement of classroom-tested pedagogical tools, including bulleted summaries, numbered examples, spreadsheet exercises, computational problems, and chapter review questions, supports and strengthens student comprehension and retention of all material covered.
Fully revised and updated throughout, the fifteenth edition of Investments: Analysis and Management remains an ideal textbook for students with moderate business backgrounds taking an introductory investments course, business students working toward earning the CFA designation or an advanced degree in finance, and those wanting to learn about investments for their personal finances.
More than a simple introduction to the subject, Investments: Analysis and Management prepares students to tackle real-world investment problems and controversies using a systematic, highly practical approach. Emphasizing clarity and readability, authors Gerald Jensen and Tyler Jensen minimize complex formulas and simplify difficult material, enabling students of all levels and backgrounds to follow the entire discussion and further explore the subject.
Carefully organized chapters guide students through fundamental investing concepts, portfolio theory, common stock analysis and valuation, fixed-income and derivative securities, the essentials of security analysis and portfolio management, and more. A full complement of classroom-tested pedagogical tools, including bulleted summaries, numbered examples, spreadsheet exercises, computational problems, and chapter review questions, supports and strengthens student comprehension and retention of all material covered.
Fully revised and updated throughout, the fifteenth edition of Investments: Analysis and Management remains an ideal textbook for students with moderate business backgrounds taking an introductory investments course, business students working toward earning the CFA designation or an advanced degree in finance, and those wanting to learn about investments for their personal finances.
More details
Edition
15th edition
Language
English
Place of publication
New York
United States
Target group
College/higher education
Dimensions
Height: 254 mm
Width: 203 mm
Thickness: 25 mm
Weight
1089 gr
ISBN-13
978-1-394-24378-5 (9781394243785)
Copyright in bibliographic data and cover images is held by Nielsen Book Services Limited or by the publishers or by their respective licensors: all rights reserved.
Schweitzer Classification
Other editions
Previous edition

Book
11/2019
14th Edition
Wiley
€155.93
Article exhausted; check for reprint
Persons
Dr. Gerald Jensen served for many years as a faculty member at Creighton University and Northern Illinois University (NIU). Dr. Jensen was a Board of Trustees Professor and held the Jones, Diedrich, Mennie Endowed Professorship at NIU. He is a Chartered Financial Analyst and was actively involved with the CFA Institute as a volunteer and a consultant. His research focuses on Federal Reserve policy and security returns. He has published more than 60 articles in journals such as Journal of Financial Economics, Journal of Financial and Quantitative Analysis, Financial Analysts Journal, and Journal of Portfolio Management.
Dr. Tyler Jensen is an Associate Professor of Finance at the Ivy College of Business, Iowa State University. He received his PhD from the University of Utah in 2014 and joined the faculty of Iowa State the same year. His research interests include cash holdings, asset pricing, funding conditions, and earnings forecasts. He has been published in the Journal of Financial and Quantitative Analysis, Accounting Review, Journal of Corporate Finance, and Journal of Banking and Finance.
Dr. Tyler Jensen is an Associate Professor of Finance at the Ivy College of Business, Iowa State University. He received his PhD from the University of Utah in 2014 and joined the faculty of Iowa State the same year. His research interests include cash holdings, asset pricing, funding conditions, and earnings forecasts. He has been published in the Journal of Financial and Quantitative Analysis, Accounting Review, Journal of Corporate Finance, and Journal of Banking and Finance.
Content
Part 1 Background
1 Understanding Investments 1
2 Investment Alternatives 23
3 Indirect Investing 54
4 Securities Markets and Market Indexes 85
5 How Securities Are Traded 108
Part 2 Portfolio and Capital Market Theory
6 The Risk and Return from Investing 132
7 Portfolio Theory 161
8 Portfolio Selection and Asset Allocation 185
9 Capital Market Theory and Asset Pricing Models 210
Part 3 Common Stocks: Analysis, Valuation, and Management
10 Common Stock Valuation 240
11 Common Stocks: Analysis and Strategy 275
12 Market Efficiency 295
Part 4 Security Analysis
13 Economy/Market Analysis 325
14 Sector/Industry Analysis 348
15 Company Analysis 367
16 Technical Analysis 398
Part 5 Fixed-Income Securities: Analysis, Valuation, and Management
17 Bond Yields and Prices 419
18 Bonds: Analysis and Strategy 445
Part 6 Derivative Securities
19 Options 471
20 Futures Contracts 503
Part 7 Investment Management
21 Managing Your Financial Assets 527
22 Evaluating Investment Performance 547
Glossary G-1
Index I-1
1 Understanding Investments 1
2 Investment Alternatives 23
3 Indirect Investing 54
4 Securities Markets and Market Indexes 85
5 How Securities Are Traded 108
Part 2 Portfolio and Capital Market Theory
6 The Risk and Return from Investing 132
7 Portfolio Theory 161
8 Portfolio Selection and Asset Allocation 185
9 Capital Market Theory and Asset Pricing Models 210
Part 3 Common Stocks: Analysis, Valuation, and Management
10 Common Stock Valuation 240
11 Common Stocks: Analysis and Strategy 275
12 Market Efficiency 295
Part 4 Security Analysis
13 Economy/Market Analysis 325
14 Sector/Industry Analysis 348
15 Company Analysis 367
16 Technical Analysis 398
Part 5 Fixed-Income Securities: Analysis, Valuation, and Management
17 Bond Yields and Prices 419
18 Bonds: Analysis and Strategy 445
Part 6 Derivative Securities
19 Options 471
20 Futures Contracts 503
Part 7 Investment Management
21 Managing Your Financial Assets 527
22 Evaluating Investment Performance 547
Glossary G-1
Index I-1