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Finance: Capital Markets, Financial Management, and Investment Management
book

Finance: Capital Markets, Financial Management, and Investment Management

by FRANK J. FABOZZI, PAMELA PETERSON DRAKE
June 2009
Beginner
829 pages
23h 50m
English
Wiley
Content preview from Finance: Capital Markets, Financial Management, and Investment Management
Index
AA rated yield curve
Abnormal return
Absolute return
Accelerated sinking fund provision
Accident, definition
Account balance
deposit requirement
earnings
Accounting
accrual method, usage
income, adjustment
irregularities, shareholder wealth maximization (relationship)
Accounting Principles Board (APB) Opinion No.
Accounting profit
economic profit, contrast
revenue/cost difference
Accounts
administration/collection, cost
analysis
collections, seasonal nature (estimate)
method, analysis
monthly changes, analysis
Accounts payable
Accounts receivable
analysis, assumption
carrying cost
changes
cost
customer amount
management
monitoring
aging schedule, usage
securitization
turnover ratio
Accredited investors
Accrued interest
Acid-test ratio
Active bond portfolio strategies
classification
Active funds
Active portfolio strategy, information (usage)
Active return
data/calculation
equation
Active strategy, approaches
Activity
ratios
summary
Actual reserves, satisfaction
Adjusted present value (APV)
calculation
disadvantage
method, NPV method (contrast) illustration
usage
ease
Adjusted price, converted price
Adverse stock price movements, hedging
Advertising expenditures
After-tax interest, adjustment
Agency costs
reduction
theoretical analysis
Agency effect
Agency Explanation
Agency MBS market
Agency mortgage pass-through security
exposure
Agency relationship
costs
problems
Aging of receivables
Aging schedule, usage
AIG, SEC accounting fraud charge
Algorithmic trading (algo)
usage ...
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Publisher Resources

ISBN: 9780470407356Purchase book