ABSTRACT

This revised and fully expanded edition of Understanding Investments continues to incorporate the elements of traditional textbooks on investments, but goes further in that the material is presented from an intuitive, practical point of view, and the supplementary material included in each chapter lends itself to both class discussion and further reading by students. It provides the essential tools to navigate complex, global financial markets and instruments including relevant (and classic) academic research and market perspectives.

The author has developed a number of key innovative features. One unique feature is its economic angle, whereby each chapter includes a section dedicated to the economic analysis of that chapter’s material. Additionally, all chapters contain sections on strategies that investors can apply in specific situations and the pros and cons of each are also discussed. The book provides further clarification of some of the concepts discussed in the previous edition, thereby offering a more detailed analysis and discussion, with more real-world examples. The author has added new, shorter text boxes, labeled "Market Flash" to highlight the use of, or changes in current practices in the field; updates on strategies as applied by professionals; provision of useful information for an investor; updates on regulations; and anything else that might be relevant in discussing and applying a concept. This second edition also includes new sections on core issues in the field of investments, such as alternative investments, disruptive technologies, and future trends in investment management.

This textbook is intended for undergraduate students majoring or minoring in finance and also for students in economics and related disciplines who wish to take an elective course in finance or investments.

part I|92 pages

Investment basics

chapter Chapter 1|27 pages

The investment framework

chapter Chapter 3|30 pages

Fundamentals of risk and return

part II|115 pages

Financial markets, intermediaries, and instruments

chapter Chapter 4|35 pages

The global financial environment

chapter Chapter 5|35 pages

Money and capital market instruments and strategies

chapter Chapter 6|41 pages

Investment bankers and investment companies

part III|121 pages

Portfolio theory

chapter Chapter 7|39 pages

Diversification and asset allocation

chapter Chapter 8|44 pages

Efficient diversification and capital market theory

chapter Chapter 9|35 pages

Market efficiency and behavioral finance

part IV|80 pages

Equity portfolio management

chapter Chapter 10|39 pages

Equity and fundamental analyses

chapter Chapter 11|38 pages

Equity valuation and investment strategies

part V|77 pages

Debt securities

chapter Chapter 12|41 pages

Bond fundamentals and valuation

chapter Chapter 13|33 pages

Bond portfolio management and performance evaluation

part VI|112 pages

Derivative markets and other investments

chapter Chapter 14|41 pages

Option markets and valuation models

chapter Chapter 15|34 pages

Futures markets and strategies