MARC ayrıntıları
| 000 -LEADER |
| fixed length control field |
03729nam a2200265 i 4500 |
| 008 - FIXED-LENGTH DATA ELEMENTS--GENERAL INFORMATION |
| fixed length control field |
021122s2002 nju 000 0 eng d |
| 020 ## - INTERNATIONAL STANDARD BOOK NUMBER |
| International Standard Book Number |
0471228990 |
| 040 ## - CATALOGING SOURCE |
| Original cataloging agency |
GPM |
| Language of cataloging |
eng |
| Transcribing agency |
GPM |
| Modifying agency |
BAUN |
| Description conventions |
rda |
| 049 ## - LOCAL HOLDINGS (OCLC) |
| Holding library |
BAUN_MERKEZ |
| 050 04 - LIBRARY OF CONGRESS CALL NUMBER |
| Classification number |
HG4521 |
| Item number |
.T455 2002 |
| 100 1# - MAIN ENTRY--PERSONAL NAME |
| Personal name |
Fabozzi, Frank J |
| 245 14 - TITLE STATEMENT |
| Title |
The theory and practice of investment management / |
| Statement of responsibility, etc |
Frank J. Fabozzi, Harry M. Markowitz |
| 264 #1 - PRODUCTION, PUBLICATION, DISTRIBUTION, MANUFACTURE, AND COPYRIGHT NOTICE |
| Place of production, publication, distribution, manufacture |
Hoboken, N.J. : |
| Name of producer, publisher, distributor, manufacturer |
Wiley, |
| Date of production, publication, distribution, manufacture, or copyright notice |
2002. |
| 300 ## - PHYSICAL DESCRIPTION |
| Extent |
xviii, 894 pages : |
| Other physical details |
charts ; |
| Dimensions |
24 cm |
| 336 ## - CONTENT TYPE |
| Content Type Term |
text |
| Content Type Code |
txt |
| Source |
rdacontent |
| 337 ## - MEDIA TYPE |
| Media Type Term |
unmediated |
| Media Type Code |
unmediated |
| Source |
rdamedia |
| 338 ## - CARRIER TYPE |
| Carrier Type Term |
volume |
| Carrier Type Code |
volume |
| Source |
rdacarrier |
| 505 00 - FORMATTED CONTENTS NOTE |
| Title |
Contents |
| -- |
About the Editors |
| -- |
Contributing Authors |
| -- |
Foreword |
| Statement of responsibility |
/ Peter L. Bernstein |
| Title |
Sect. 1 Foundations of Investment Management |
| -- |
Ch. 1 Investment Management |
| Statement of responsibility |
/ Frank J. Fabozzi, Harry M. Markowitz |
| Title |
Ch. 2 Portfolio Selection |
| Statement of responsibility |
/ Frank J. Fabozzi, Harry M. Markowitz, Francis Gupta |
| Title |
Ch. 3 Applying Mean-Variance Analysis |
| Statement of responsibility |
/ Frank J. Fabozzi, Francis Gupta, Harry M. Markowitz |
| Title |
Ch. 4 Asset Pricing Models |
| Statement of responsibility |
/ Frank J. Fabozzi |
| Title |
Ch. 5 Calculating Investment Returns |
| Statement of responsibility |
/ Bruce Feibel |
| Title |
Sect. 2 Investing in Common Stock |
| -- |
Ch. 6 Common Stock Markets, Trading Arrangements, and Trading Costs |
| Statement of responsibility |
/ Frank J. Fabozzi, Frank J. Jones, Robert R. Johnson, Bruce M. Collins |
| Title |
Ch. 7 Tracking Error and Common Stock Portfolio Management |
| Statement of responsibility |
/ Raman Vardharaj, Frank J. Jones, Frank J. Fabozzi |
| Title |
Ch. 8 Common Stock Portfolio Management Strategies |
| Statement of responsibility |
/ Frank J. Fabozzi, James L. Grant |
| Title |
Ch. 9 Traditional Fundamental Analysis I: Sources of Information |
| Statement of responsibility |
/ Pamela P. Peterson, Frank J. Fabozzi |
| Title |
Ch. 10 Traditional Fundamental Analysis II: Financial Ratio Analysis |
| Statement of responsibility |
/ Pamela P. Peterson, Frank J. Fabozzi |
| Title |
Ch. 11 Traditional Fundamental Analysis III: Earnings Analysis, Cash Analysis, Dividends, and Dividend Discount Models |
| Statement of responsibility |
/ Pamela P. Peterson, Frank J. Fabozzi |
| Title |
Ch. 12 Security Analysis Using Value-Based Metrics |
| Statement of responsibility |
/ James A. Abate, James L. Grant |
| Title |
Ch. 13 Multi-Factor Equity Risk Models |
| Statement of responsibility |
/ Frank J. Fabozzi, Frank J. Jones, Raman Vardharaj |
| Title |
Ch. 14 Equity Derivatives I: Features and Valuation |
| Statement of responsibility |
/ Bruce M. Collins, Frank J. Fabozzi |
| Title |
Ch. 15 Equity Derivatives II: Portfolio Management Applications |
| Statement of responsibility |
/ Bruce M. Collins, Frank J. Fabozzi |
| Title |
Sect. 3 Investing in Fixed-Income Securities |
| -- |
Ch. 16 Fixed-Income Securities |
| Statement of responsibility |
/ Frank J. Fabozzi |
| Title |
Ch. 17 Real Estate-Backed Securities |
| Statement of responsibility |
/ Frank J. Fabozzi |
| Title |
Ch. 18 General Principles of Bond Valuation |
| Statement of responsibility |
/ Frank J. Fabozzi, Steven V. Mann |
| Title |
Ch. 19 Yield Measures and Forward Rates |
| Statement of responsibility |
/ Frank J. Fabozzi, Steven V. Mann |
| Title |
Ch. 20 Valuation of Bonds with Embedded Options |
| Statement of responsibility |
/ Frank J. Fabozzi, Steven V. Mann |
| Title |
Ch. 21 Measuring Interest Rate Risk |
| Statement of responsibility |
/ Frank J. Fabozzi, Steven V. Mann |
| Title |
Ch. 22 Fixed-Income Portfolio Strategies |
| Statement of responsibility |
/ Frank J. Fabozzi |
| Title |
Ch. 23 Bond Portfolio Analysis Relative to a Benchmark |
| Statement of responsibility |
/ Lev Dynkin, Jay Hyman, Vadim Konstantinovsky |
| Title |
Ch. 24 Multi-Factor Fixed-Income Risk Models and Their Applications |
| Statement of responsibility |
/ Lev Dynkin, Jay Hyman |
| Title |
Ch. 25 Fixed-Income Derivatives and Risk Control |
| Statement of responsibility |
/ Frank J. Fabozzi |
| Title |
Sect. 4 Investment Companies and Exchange-Traded Funds |
| -- |
Ch. 26 Investment Companies |
| Statement of responsibility |
/ Frank J. Jones, Frank J. Fabozzi |
| Title |
Ch. 27 Exchange-Traded Funds |
| Statement of responsibility |
/ Gary L. Gastineau |
| Title |
Sect. 5 Investing in Real Estate and Alternative Investments |
| -- |
Ch. 28 Real Estate Investment |
| Statement of responsibility |
/ Susan Hudson-Wilson |
| Title |
Ch. 29 Hedge Funds |
| Statement of responsibility |
/ Mark J. P. Anson |
| Title |
Ch. 30 Private Equity |
| Statement of responsibility |
/ Mark J. P. Anson |
| Title |
Sect. 6 Asset Allocation |
| -- |
Ch. 31 Active Asset Allocation |
| Statement of responsibility |
/ Robert D. Arnott |
| Title |
Index |
| 650 #0 - SUBJECT ADDED ENTRY--TOPICAL TERM |
| Topical term or geographic name as entry element |
Investments |
|
| Topical term or geographic name as entry element |
Business enterprises |
| General subdivision |
Finance |
| 700 1# - ADDED ENTRY--PERSONAL NAME |
| Personal name |
Markowitz, H. |
| Fuller form of name |
(Harry), |
| Dates associated with a name |
1927- |
| 900 ## - EQUIVALENCE OR CROSS-REFERENCE-PERSONAL NAME [LOCAL, CANADA] |
| Personal Name |
31213 |
|
| Numeration |
satın |
| 942 ## - ADDED ENTRY ELEMENTS (KOHA) |
| Source of classification or shelving scheme |
Library of Congress Classification |
| Koha item type |
Kitap |