
Scientific Investment Analysis
Austin Murphy(Author)
Praeger Publishers Inc
Published on 30. January 2000
Book
Hardback
504 pages
978-1-56720-338-7 (ISBN)
Description
A state-of-the art treatment offering scientific procedures that require no special scientific expertise, Murphy's unusual new book provides a unified framework for the evaluation of investment assets and strategies-a particularly useful way to conduct security analysis, portfolio management, and trading, and for other general investment applications. Murphy covers practical methods for credit analysis and demonstrates ways to value equities using a pro forma model that integrates forecasting with the detailed use of financial statements and footnotes.
Scientific Investment Analysis explains how to evaluate both fixed income securities and equities, as well as options, futures, and investment companies. It illustrates the use of practical dynamic software for valuing complex call, conversion, and other option features embedded in security contracts. The valuation concepts he presents are well grounded in theory and empirical investigation and explained within the context of international portfolio management. The effects of trading, tax, and regulatory environments on market prices and investment strategies are thoroughly discussed. This is an important resource for investment analysts, researchers, advisers, and brokers, an as excellent text for students in advanced investment or portfolio management at upper university levels.
Scientific Investment Analysis explains how to evaluate both fixed income securities and equities, as well as options, futures, and investment companies. It illustrates the use of practical dynamic software for valuing complex call, conversion, and other option features embedded in security contracts. The valuation concepts he presents are well grounded in theory and empirical investigation and explained within the context of international portfolio management. The effects of trading, tax, and regulatory environments on market prices and investment strategies are thoroughly discussed. This is an important resource for investment analysts, researchers, advisers, and brokers, an as excellent text for students in advanced investment or portfolio management at upper university levels.
More details
Language
English
Place of publication
United States
Publishing group
Bloomsbury Publishing Plc
Target group
College/higher education
Professional and scholarly
Interest Age: From 7 to 17 years
Dimensions
Height: 240 mm
Width: 161 mm
Thickness: 31 mm
Weight
916 gr
ISBN-13
978-1-56720-338-7 (9781567203387)
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
Person
AUSTIN MURPHY is Professor of Finance, Department of Accounting and Finance, Oakland University, Michigan./e Among his earlier assignments were a stint as a Visiting Professor at the Federal Home Loan Bank Board, and as a Fulbright Professor at the Free University of Berlin. He is author of two earlier books and more than 50 journal articles on investment and related financial topics, published in a wide range of professional and scholarly journals in finance and economics.
Content
Preface Introductory Portfolio Analysis Introduction: Investment Goals and Opportunities Diversification Analysis An Applied Theory of Portfolio Selection Fundamental Analysis Foundations of Investment Valuation Fixed-Income Security Analysis: Introduction Fundamental Analysis of Fixed-Income Securities Analysis of Equity Investments: Introduction Fundamental Analysis of Equity Investments Fundamental Analysis of Real Asset Investments Fundamental Analysis of Foreign Assets A Fundamental Survey of the Existing Investment Opportunity Set Spot Assets Forward and Futures Contracts Options Investment Companies The Existing Market Environment The Trading Environment The Taxation Environment The Regulatory and Ethical Environment Market Efficiency and Investment Performance Specific Portfolio Strategies Arbitrage The Theory and Practice of Technical Analysis Hedging A Summary of Portfolio Management Strategies Index