Investments: Analysis & Management: An Indonesian Adaptation

Investments: Analysis & Management: An Indonesian Adaptation
Judul Buku :Investments: Analysis & Management: An Indonesian Adaptation
Tahun Terbit :2009
Halaman :694
Penerbit :Salemba Empat, Wiley
ISBN :9789812532916

Ringkasan

Investments: Analysis & Management: An Indonesian Adaptation

The Charles P. Jones Investment-Analysis and Management (An Indonesian Adaptation) is designed as an introduction to investments, descriptive material must be-and is-thoroughly covered. This book has covered terminology and investment environment in Indonesia. Some chapters, especially related to mechanism and regulation, have been revised to adapt the Indonesian system, while some other chapters, considering the global nature of investment world, remain unchanged.

Some topic have been added or revised to enhance student understanding about current practices in the investing world and to highlight some characteristics in Indonesia among others.

This adapted-for-Indonesia version entitled:“Investment Analysis and Management, AnIndonesian Adaptation” is based mainly onCharles P. Jones’s work, and is similar to his previous volumes, including among others, “Investments Principles and Concepts”. CharlesP. Jones is a lecturer at the Department of Business Management, North Carolina State University whose main teaching interests are investments, managerial finance, risk management and money and capital markets. Co-authored byIndonesian lecturers Sidharta Utama, Budi Frensidy, Irwan Adi Ekaputra and Rachman Untung Budiman from the University of Indonesia,Faculty of Economics and Business, who have among their other interests investment as an item for research and teaching.

This book consist of 2 parts and 9 chapters

PART ONE

Chapter-1 Introduction to Investing 1

Chapter-2 Financial Assets Available to Investors 23

Chapter-3 Investing in Mutual Funds and ETFs 49

Chapter-4 Financial Markets 79

Chapter-5 What to Know about Trading Securities III

PART TWO PORTFOLIO AND CAPITAL MARKET THEORY

Chapter-6 Measuring Returns and Risk 139

Chapter-7 Diversification and Portfolio Theory 175

Chapter-8 Selecting an Optimal Portfolio 203

Chapter-9 Models for the Pricing of Assets 229

Author(s) :

Jones, Charles P.
Frensidy, Budi
Utama, Siddharta
Ekaputra, Irwan Adi
Budiman, Rachman Untung

Happy reading!