Equity Investment Management
Stephen Lofthouse(Author)
Wiley (Publisher)
Published on 24. January 1994
Book
Paperback/Softback
288 pages
978-0-471-94170-5 (ISBN)
Article exhausted; check for reprint
Description
Written for investors and students taking investment exams, this text describes how to analyze stocks and markets, and how to construct a portfolio. Statistical and mathematical information is discussed in a straightforward manner which should be accessible to non-mathematicians.
More details
Language
English
Place of publication
Chichester
United Kingdom
Publishing group
John Wiley and Sons Ltd
Target group
College/higher education
Professional and scholarly
Illustrations
glossary, further reading list, index
Dimensions
Height: 228 mm
Width: 152 mm
Weight
620 gr
ISBN-13
978-0-471-94170-5 (9780471941705)
Copyright in bibliographic data is held by Nielsen Book Services Limited or its licensors: all rights reserved.
Schweitzer Classification
Other editions
New editions

Stephen Lofthouse
Investment Management
Book
06/2001
2nd Edition
Wiley
€57.90
Shipment within 10-20 days
Content
Part 1: Introduction and Basic Financial Theory 1. Introduction 2. Risk, Return and Diversification 3. The Capital Asset Pricing Model 4. The Nearly Efficient Market 5. How Analysts Analyse and How Managers Manage Part 2: Stock and Sector Selection 6 Assessing Investment Systems 7 Earnings-Based Share Selection 8 Dividend Discount Models 9 Price-Earnings Ratio Models 10 Low PER and Low PSR Stocks 11 Low Price and Small Stocks 12 Dividend Matters 13 Book-to-Market and Other Accounting Ratios 14 Creative Accounting and Bankruptcy 15 Neglected and New Stocks 16 Following Recommendations 17 Calendar Effects 18 Technical Analysis and Contrary Opinion 19 Arbitrage Pricing Theory 20 Sector Strategy 21 Constructing a Share Portfolio Part 3: Strategic and Tactical Asset Allocation 22. Setting Strategic Weights 23. Tactical Asset Allocation: Background 24. Forecasting The Economy 25. Business Cycle Anticipation and Scenario Forecasting 26. Price-Earnings Ratio Valuation Measures 27. Yield and Dividend Valuation Measures 28. Liquidity and Technical Titbits 29. International Tactical Asset Allocation 30. Combining Tactical Asset Allocation Tools Part 4: Aspects of International Asset Allocation 31. Selecting Japanese Stocks 32. The Japanese Market Level 33. Emerging Markets Part 5: Winning. Part 6: Passive Investment Management.