Revel for Fundamentals of Investing -- Access Card
Pearson Education (US) (Publisher)
13th Edition
Published on 15. September 2017
Software
Other digital
672 pages
978-0-13-478903-3 (ISBN)
Description
For undergraduate investment courses.
Revel (TM) is Pearson's newest way of delivering our respected content. Fully digital and highly engaging, Revel replaces the textbook and gives students everything they need for the course. Informed by extensive research on how people read, think, and learn, Revel is an interactive learning environment that enables students to read, practice, and study in one continuous experience - for less than the cost of a traditional textbook.
The core concepts and tools students need to make informed investment decisions
Revel Fundamentals of Investing helps students make informed investment decisions by providing a solid foundation of core concepts and tools. Smart, Gitman, and Joehnk use practical, hands-on applications to introduce the topics and techniques used by both personal investors and money managers. They also integrate a consistent framework based on learning goals to keep students focused in each chapter. Using this approach, students leave the course with the necessary information for developing, implementing, and monitoring a successful investment program.
The 13th Edition uses a conversational tone to make the foreign language, concepts, and strategies of investing accessible to a student audience. In Revel, students build their understanding through hands-on practice and interactive media, preparing them to make informed decisions in order to achieve investment goals. The title focuses on both individual securities and portfolios, teaching students to consider the risk and return of different types of investments and how to use this knowledge to develop, implement, and monitor goals.
Revel (TM) is Pearson's newest way of delivering our respected content. Fully digital and highly engaging, Revel replaces the textbook and gives students everything they need for the course. Informed by extensive research on how people read, think, and learn, Revel is an interactive learning environment that enables students to read, practice, and study in one continuous experience - for less than the cost of a traditional textbook.
The core concepts and tools students need to make informed investment decisions
Revel Fundamentals of Investing helps students make informed investment decisions by providing a solid foundation of core concepts and tools. Smart, Gitman, and Joehnk use practical, hands-on applications to introduce the topics and techniques used by both personal investors and money managers. They also integrate a consistent framework based on learning goals to keep students focused in each chapter. Using this approach, students leave the course with the necessary information for developing, implementing, and monitoring a successful investment program.
The 13th Edition uses a conversational tone to make the foreign language, concepts, and strategies of investing accessible to a student audience. In Revel, students build their understanding through hands-on practice and interactive media, preparing them to make informed decisions in order to achieve investment goals. The title focuses on both individual securities and portfolios, teaching students to consider the risk and return of different types of investments and how to use this knowledge to develop, implement, and monitor goals.
More details
Edition
13th edition
Language
English
Place of publication
Upper Saddle River
United States
Target group
College/higher education
ISBN-13
978-0-13-478903-3 (9780134789033)
Copyright in bibliographic data is held by Nielsen Book Services Limited or its licensors: all rights reserved.
Schweitzer Classification
Content
PART I: PREPARING TO INVEST 1. The Investment Environment 2. Securities Markets and Transactions 3. Investment Information and Securities Transactions
PART II: IMPORTANT CONCEPTUAL TOOLS 4. Return and Risk 4A. The Time Value of Money 5. Modern Portfolio Concepts
PART III: INVESTING IN COMMON STOCKS 6. Common Stocks 7. Analyzing Common Stocks 8. Stock Valuation 9. Market Efficiency and Behavioral Finance
PART IV: INVESTING IN FIXED-INCOME SECURITIES 10. Fixed-Income Securities 11. Bond Valuation
PART V: PORTFOLIO MANAGEMENT 12. Mutual Funds and Exchange-Traded Funds 13. Managing Your Own Portfolio
PART VI: DERIVATIVE SECURITIES 14. Options: Puts and Calls 15. Futures Markets and Securities
PART II: IMPORTANT CONCEPTUAL TOOLS 4. Return and Risk 4A. The Time Value of Money 5. Modern Portfolio Concepts
PART III: INVESTING IN COMMON STOCKS 6. Common Stocks 7. Analyzing Common Stocks 8. Stock Valuation 9. Market Efficiency and Behavioral Finance
PART IV: INVESTING IN FIXED-INCOME SECURITIES 10. Fixed-Income Securities 11. Bond Valuation
PART V: PORTFOLIO MANAGEMENT 12. Mutual Funds and Exchange-Traded Funds 13. Managing Your Own Portfolio
PART VI: DERIVATIVE SECURITIES 14. Options: Puts and Calls 15. Futures Markets and Securities