Book description
Understand today's investment challenges and the role of the Bloomberg system
In recent years, changes have swept through the investment industry like wildfire. Academia has followed along and provided new lenses for viewing this transformation, as well as new strategies for gaining a true understanding and knowledge of investment and financial markets. Now, Equity Markets and Portfolio Analysis has been created to further inform investment professionals and finance students on the basic concepts and strategies of investments, and to provide more detailed discussions on advanced strategies and models. The concepts covered in this book will help readers gain a better understanding of the markets and uses for an increasing number of securities, strategies, and methodologies.
Equity Markets and Portfolio Analysis is the only core investment book that covers the functionality of Bloomberg terminals, increasingly critical tools both in the classroom and on the trading floor. As Bloomberg terminals now play a key role in the research, teaching, and managing of student investment funds, understanding the system's information and analytical functions has become more important than ever.
In-depth coverage of fundamentals through more detailed concepts for students and professionals who want to better understand the evaluation, selection, and management of securities
One-of-a-kind training and instructional course, introduction to Bloomberg investment subjects, and reference for CFA preparation
Bloomberg material provided in an appendix accompanying each chapter, a useful option for professors
Ideal for finance practitioners, investment bankers, and academics
This unique resource will give readers both the foundational knowledge and the analytical tools necessary for investment success, both in the classroom and in the real world.
Table of contents
- Preface
- Acknowledgments
- CHAPTER 1 Overview of the Financial System
-
CHAPTER 2 Overview and Guide to the Bloomberg System
- Introduction
- Bloomberg System—Bloomberg Keyboard
- Accessing Some of the Information Discussed in Chapter 1
- Indexes
- Functionality
- Economic, Industry, Law, and Municipal Information Screens
- Monitor and Portal Screens
- Portfolios and Baskets
- Screening and Search Functions
- The Bloomberg Excel Add-In: Importing Bloomberg into Excel
- Launchpad
- Other Bloomberg Functions
- Conclusion
- Bloomberg Exercises
-
CHAPTER 3 Stock and Bond Valuation and Return
- Introduction
- Rate of Return
- Future and Present Values
- Bond Valuation
- The Yield to Maturity and Other Rates of Return Measures for Bonds
- Total Return
- Spot Rates and Equilibrium Prices
- Geometric Mean
- Stock Valuation and Return
- Fundamental Stock Valuation
- Two-Stage and Three-Stage Growth Models
- The Bloomberg Three-Stage Growth Model—DDM
- Valuation of Preferred Stock
- Conclusion
- Web Site Information
- Notes
- Selected References
- Bloomberg Exercises
-
CHAPTER 4 Equity Securities, Markets, and Trading
- Introduction
- Types of Equity Securities
- How Stocks and other Securities are Traded—Primary Market
- The Markets for Existing Securities
- Convergences of Organized Exchanges, the OTC Market, and the Electronic Communications Networks
- Trading Securities in the Market
- Types of Transactions
- Types of Orders
- Cost of Trading
- Conclusion
- Web Site Information
- Notes
- Selected References
- Bloomberg Exercises
-
CHAPTER 5 Investment Funds, Intermediate Securities, and Global Equity Markets
- Introduction
- Investment Funds
- Exchange-Traded Funds
- Other Investment-Type Funds and Securities
- Insurance Companies, Pension Funds, and Investment Banks
- Financial Service Industry, the 2008 Financial Crisis, and Regulations
- Global Equity Markets and Exchanges
- Conclusion
- Web Site Information
- Notes
- Selected References
- Bloomberg Exercises
-
CHAPTER 6 Expected Rate of Return and Risk—Stock
- Introduction
- Risk-Free Security, Nominal Rates, and Real Rates
- Stock Risk: Firm, Industry, and Market Risk
- Statistical Measurements of Expected Return and Risk
- Parameter Estimates: Historical Averages
- Parameter Estimates: Regression
- Relationship between Return and Risk
- Conclusion
- Web Site Information
- Notes
- Selected References
- Bloomberg Exercises
- CHAPTER 7 Portfolio Evaluation
- CHAPTER 8 Portfolio Selection— Markowitz Model
- CHAPTER 9 The Capital Asset Pricing Model
- CHAPTER 10 The Arbitrage Pricing Theory
- CHAPTER 11 The Financial Anatomy of a Company—Fundamental Analysis
- CHAPTER 12 Applied Fundamental Analysis
-
CHAPTER 13 Market and Industrial Analysis: Top-Down Approach
- Introduction
- Macroeconomic Environment
- Business Fluctuations: Overshooting, Corrections, and Financial Crisis
- Economic Indicators
- Industry Analysis
- Aggregate Stock Market Analysis and Valuation
- Industry Analysis and Valuation
- Top-Down Portfolio Management
- Conclusion
- Web Site Information
- Notes
- Selected References
- Bloomberg Exercises
- CHAPTER 14 Technical Analysis
-
CHAPTER 15 Efficient Markets
- Introduction
- Efficient Market Theory
- Studies of the Weak-Form Hypothesis
- Studies of the Semi-Strong-Form Hypothesis
- Studies of the Strong-Form Hypothesis
- Conclusions on the Strong-Form Efficient Markets
- Portfolios Revisited: Equity Style Portfolios
- Conclusion
- Notes
- Selected References
- Bloomberg Exercises
- CHAPTER 16 Options Markets
-
CHAPTER 17 Futures Markets
- Introduction
- The Nature of Futures Trading and the Role of the Clearinghouse
- The Market and Characteristics of Futures Contracts
- Equity Index Futures
- Pricing Futures and Forward Contracts: Carrying-Cost Model
- Options on Futures Contracts
- Conclusion
- Web Site Information
- Notes
- Selected References
- Bloomberg Exercises
- Index
- End User License Agreement
Product information
- Title: Equity Markets and Portfolio Analysis
- Author(s):
- Release date: June 2014
- Publisher(s): Bloomberg Press
- ISBN: 9781118202685
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