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Economics for investment decision makers workbook [[electronic resource] ] : micro, macro, and international economics / / Christopher D. Piros and Jerald E. Pinto
Economics for investment decision makers workbook [[electronic resource] ] : micro, macro, and international economics / / Christopher D. Piros and Jerald E. Pinto
Autore Piros Christopher D
Pubbl/distr/stampa Hoboken, N.J., : Wiley, c2013
Descrizione fisica 1 online resource (146 p.)
Disciplina 330
Collana CFA Investment Institute Series
Soggetto topico Supply and demand
Microeconomics
Macroeconomics
Soggetto genere / forma Electronic books.
ISBN 1-118-41633-3
1-299-31479-1
1-118-41907-3
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Economics for Investment Decision Makers Workbook: Micro, Macro, and International Economics; Copyright; Contents; Part I: Learning Outcomes, Summary Overview, and Practice Problems; Chapter 1: Demand and Supply Analysis: Introduction; Learning Outcomes; Summary Overview; Practice Problems; Chapter 2: Demand and Supply Analysis: Consumer Demand; Learning Outcomes; Summary Overview; Practice Problems; Chapter 3: Demand and Supply Analysis: The Firm; Learning Outcomes; Summary Overview; Practice Problems; Chapter 4: The Firm and Market Structures; Learning Outcomes; Summary Overview
Practice Problems Chapter 5: Aggregate Output, Prices, and Economic Growth; Learning Outcomes; Summary Overview; Practice Problems; Chapter 6: Understanding Business Cycles; Learning Outcomes; Summary Overview; Practice Problems; Chapter 7: Monetary and Fiscal Policy; Learning Outcomes; Summary Overview; Practice Problems; Chapter 8: International Trade and Capital Flows; Learning Outcomes; Summary Overview; Practice Problems; Chapter 9: Currency Exchange Rates; Learning Outcomes; Summary Overview; Practice Problems; Chapter 10: Currency Exchange Rates: Determination and Forecasting
Learning Outcomes Summary Overview; Practice Problems; Chapter 11: Economic Growth and the Investment Decision; Learning Outcomes; Summary Overview; Practice Problems; Chapter 12: Economics of Regulation; Learning Outcomes; Summary Overview; Practice Problems; Part II: Solutions; Chapter 1: Demand and Supply Analysis: Introduction; Solutions; Chapter 2: Demand and Supply Analysis: Consumer Demand; Solutions; Chapter 3: Demand and Supply Analysis: The Firm; Solutions; Chapter 4: The Firm and Market Structures; Solutions; Chapter 5: Aggregate Output, Prices, and Economic Growth; Solutions
Chapter 6: Understanding Business Cycles Solutions; Chapter 7: Monetary and Fiscal Policy; Solutions; Chapter 8: International Trade and Capital Flows; Solutions; Chapter 9: Currency Exchange Rates; Solutions; Chapter 10: Currency Exchange Rates: Determination and Forecasting; Solutions; Chapter 11: Economic Growth and the Investment Decision; Solutions; Chapter 12: Economics of Regulation; Solutions; About the CFA Program; Advertisement
Record Nr. UNINA-9910465135103321
Piros Christopher D  
Hoboken, N.J., : Wiley, c2013
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Economics for investment decision makers workbook [[electronic resource] ] : micro, macro, and international economics / / Christopher D. Piros and Jerald E. Pinto
Economics for investment decision makers workbook [[electronic resource] ] : micro, macro, and international economics / / Christopher D. Piros and Jerald E. Pinto
Autore Piros Christopher D
Pubbl/distr/stampa Hoboken, N.J., : Wiley, c2013
Descrizione fisica 1 online resource (146 p.)
Disciplina 330
Collana CFA Investment Institute Series
Soggetto topico Supply and demand
Microeconomics
Macroeconomics
ISBN 1-118-41633-3
1-299-31479-1
1-118-41907-3
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Economics for Investment Decision Makers Workbook: Micro, Macro, and International Economics; Copyright; Contents; Part I: Learning Outcomes, Summary Overview, and Practice Problems; Chapter 1: Demand and Supply Analysis: Introduction; Learning Outcomes; Summary Overview; Practice Problems; Chapter 2: Demand and Supply Analysis: Consumer Demand; Learning Outcomes; Summary Overview; Practice Problems; Chapter 3: Demand and Supply Analysis: The Firm; Learning Outcomes; Summary Overview; Practice Problems; Chapter 4: The Firm and Market Structures; Learning Outcomes; Summary Overview
Practice Problems Chapter 5: Aggregate Output, Prices, and Economic Growth; Learning Outcomes; Summary Overview; Practice Problems; Chapter 6: Understanding Business Cycles; Learning Outcomes; Summary Overview; Practice Problems; Chapter 7: Monetary and Fiscal Policy; Learning Outcomes; Summary Overview; Practice Problems; Chapter 8: International Trade and Capital Flows; Learning Outcomes; Summary Overview; Practice Problems; Chapter 9: Currency Exchange Rates; Learning Outcomes; Summary Overview; Practice Problems; Chapter 10: Currency Exchange Rates: Determination and Forecasting
Learning Outcomes Summary Overview; Practice Problems; Chapter 11: Economic Growth and the Investment Decision; Learning Outcomes; Summary Overview; Practice Problems; Chapter 12: Economics of Regulation; Learning Outcomes; Summary Overview; Practice Problems; Part II: Solutions; Chapter 1: Demand and Supply Analysis: Introduction; Solutions; Chapter 2: Demand and Supply Analysis: Consumer Demand; Solutions; Chapter 3: Demand and Supply Analysis: The Firm; Solutions; Chapter 4: The Firm and Market Structures; Solutions; Chapter 5: Aggregate Output, Prices, and Economic Growth; Solutions
Chapter 6: Understanding Business Cycles Solutions; Chapter 7: Monetary and Fiscal Policy; Solutions; Chapter 8: International Trade and Capital Flows; Solutions; Chapter 9: Currency Exchange Rates; Solutions; Chapter 10: Currency Exchange Rates: Determination and Forecasting; Solutions; Chapter 11: Economic Growth and the Investment Decision; Solutions; Chapter 12: Economics of Regulation; Solutions; About the CFA Program; Advertisement
Record Nr. UNINA-9910792191403321
Piros Christopher D  
Hoboken, N.J., : Wiley, c2013
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Economics for investment decision makers workbook : micro, macro, and international economics / / Christopher D. Piros and Jerald E. Pinto
Economics for investment decision makers workbook : micro, macro, and international economics / / Christopher D. Piros and Jerald E. Pinto
Autore Piros Christopher D
Edizione [1st ed.]
Pubbl/distr/stampa Hoboken, N.J., : Wiley, c2013
Descrizione fisica 1 online resource (146 p.)
Disciplina 330
Collana CFA Investment Institute Series
Soggetto topico Supply and demand
Microeconomics
Macroeconomics
ISBN 1-118-41633-3
1-299-31479-1
1-118-41907-3
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Economics for Investment Decision Makers Workbook: Micro, Macro, and International Economics; Copyright; Contents; Part I: Learning Outcomes, Summary Overview, and Practice Problems; Chapter 1: Demand and Supply Analysis: Introduction; Learning Outcomes; Summary Overview; Practice Problems; Chapter 2: Demand and Supply Analysis: Consumer Demand; Learning Outcomes; Summary Overview; Practice Problems; Chapter 3: Demand and Supply Analysis: The Firm; Learning Outcomes; Summary Overview; Practice Problems; Chapter 4: The Firm and Market Structures; Learning Outcomes; Summary Overview
Practice Problems Chapter 5: Aggregate Output, Prices, and Economic Growth; Learning Outcomes; Summary Overview; Practice Problems; Chapter 6: Understanding Business Cycles; Learning Outcomes; Summary Overview; Practice Problems; Chapter 7: Monetary and Fiscal Policy; Learning Outcomes; Summary Overview; Practice Problems; Chapter 8: International Trade and Capital Flows; Learning Outcomes; Summary Overview; Practice Problems; Chapter 9: Currency Exchange Rates; Learning Outcomes; Summary Overview; Practice Problems; Chapter 10: Currency Exchange Rates: Determination and Forecasting
Learning Outcomes Summary Overview; Practice Problems; Chapter 11: Economic Growth and the Investment Decision; Learning Outcomes; Summary Overview; Practice Problems; Chapter 12: Economics of Regulation; Learning Outcomes; Summary Overview; Practice Problems; Part II: Solutions; Chapter 1: Demand and Supply Analysis: Introduction; Solutions; Chapter 2: Demand and Supply Analysis: Consumer Demand; Solutions; Chapter 3: Demand and Supply Analysis: The Firm; Solutions; Chapter 4: The Firm and Market Structures; Solutions; Chapter 5: Aggregate Output, Prices, and Economic Growth; Solutions
Chapter 6: Understanding Business Cycles Solutions; Chapter 7: Monetary and Fiscal Policy; Solutions; Chapter 8: International Trade and Capital Flows; Solutions; Chapter 9: Currency Exchange Rates; Solutions; Chapter 10: Currency Exchange Rates: Determination and Forecasting; Solutions; Chapter 11: Economic Growth and the Investment Decision; Solutions; Chapter 12: Economics of Regulation; Solutions; About the CFA Program; Advertisement
Record Nr. UNINA-9910820786503321
Piros Christopher D  
Hoboken, N.J., : Wiley, c2013
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Equity asset valuation / / Jerald E. Pinto [and four others]
Equity asset valuation / / Jerald E. Pinto [and four others]
Edizione [Third edition.]
Pubbl/distr/stampa Hoboken, New Jersey : , : Wiley, , 2015
Descrizione fisica 1 online resource (622 p.)
Disciplina 332.6
Collana CFA Institute Investment Series
Soggetto topico Investment analysis
Securities - Valuation
Investments - Valuation
Soggetto genere / forma Electronic books.
ISBN 1-119-10462-9
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Equity Asset Valuation; Contents; Foreword; Preface; Acknowledgments; About the CFA Institute Investment Series; Chapter 1 Equity Valuation: Applications & Processes; Learning Outcomes; 1. Introduction; 2. Value Definitions and Valuation Applications; 2.1. What Is Value?; 2.2. Applications of Equity Valuation; 3. The Valuation Process; 3.1. Understanding the Business; 3.2. Forecasting Company Performance; 3.3. Selecting the Appropriate Valuation Model; 3.4. Converting Forecasts to a Valuation; 3.5. Applying the Valuation Conclusion: The Analyst's Role and Responsibilities
4. Communicating Valuation Results4.1. Contents of a Research Report; 4.2. Format of a Research Report; 4.3. Research Reporting Responsibilities; 5. Summary; References; Problems; Chapter 2 Return Concepts; Learning Outcomes; 1. Introduction; 2. Return Concepts; 2.1. Holding Period Return; 2.2. Realized and Expected (Holding Period) Return; 2.3. Required Return; 2.4. Expected Return Estimates from Intrinsic Value Estimates; 2.5. Discount Rate; 2.6. Internal Rate of Return; 3. The Equity Risk Premium; 3.1. Historical Estimates; 3.2. Forward-Looking Estimates; 4. The Required Return on Equity
4.1. The Capital Asset Pricing Model4.2. Multifactor Models; 4.3. Build-Up Method Estimates of the Required Return on Equity; 4.4. The Required Return on Equity: International Issues; 5. The Weighted Average Cost of Capital; 6. Discount Rate Selection in Relation to Cash Flows; 7. Summary; References; Problems; Chapter 3 Introduction to Industry and Company Analysis; Learning Outcomes; 1. Introduction; 2. Uses of Industry Analysis; 3. Approaches to Identifying Similar Companies; 3.1. Products and/or Services Supplied; 3.2. Business-Cycle Sensitivities; 3.3. Statistical Similarities
4. Industry Classification Systems4.1. Commercial Industry Classification Systems; 4.2. Governmental Industry Classification Systems; 4.3. Strengths and Weaknesses of Current Systems; 4.4. Constructing a Peer Group; 5. Describing and Analyzing an Industry; 5.1. Principles of Strategic Analysis; 5.2. External Influences on Industry Growth, Profitability, and Risk; 6. Company Analysis; 6.1. Elements That Should be Covered in a Company Analysis; 6.2. Spreadsheet Modeling; 7. Summary; References; Problems; Chapter 4 Industry and Company analysis; Learning Outcomes; 1. Introduction
2. Financial Modeling: An Overview2.1. Income Statement Modeling: Revenue; 2.2. Income Statement Modeling: Operating Costs; 2.3. Income Statement Modeling: Non-Operating Costs; 2.4. Income Statement Modeling: Other Items; 2.5. Balance Sheet and Cash Flow Statement Modeling; 2.6. Scenario Analysis and Sensitivity Analysis; 3. The Impact of Competitive Factors on Prices and Costs; 4. Inflation and Deflation; 4.1. Sales Projections with Inflation and Deflation; 4.2. Cost Projections with Inflation and Deflation; 5. Technological Developments; 6. Long-Term Forecasting; 7. Building a Model
7.1. Industry Overview
Record Nr. UNINA-9910460856303321
Hoboken, New Jersey : , : Wiley, , 2015
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Equity asset valuation / / Jerald E. Pinto [and four others]
Equity asset valuation / / Jerald E. Pinto [and four others]
Edizione [Third edition.]
Pubbl/distr/stampa Hoboken, New Jersey : , : Wiley, , 2015
Descrizione fisica 1 online resource (622 p.)
Disciplina 332.6
Collana CFA Institute Investment Series
Soggetto topico Investment analysis
Securities - Valuation
Investments - Valuation
ISBN 1-119-10464-5
1-119-10462-9
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Equity Asset Valuation; Contents; Foreword; Preface; Acknowledgments; About the CFA Institute Investment Series; Chapter 1 Equity Valuation: Applications & Processes; Learning Outcomes; 1. Introduction; 2. Value Definitions and Valuation Applications; 2.1. What Is Value?; 2.2. Applications of Equity Valuation; 3. The Valuation Process; 3.1. Understanding the Business; 3.2. Forecasting Company Performance; 3.3. Selecting the Appropriate Valuation Model; 3.4. Converting Forecasts to a Valuation; 3.5. Applying the Valuation Conclusion: The Analyst's Role and Responsibilities
4. Communicating Valuation Results4.1. Contents of a Research Report; 4.2. Format of a Research Report; 4.3. Research Reporting Responsibilities; 5. Summary; References; Problems; Chapter 2 Return Concepts; Learning Outcomes; 1. Introduction; 2. Return Concepts; 2.1. Holding Period Return; 2.2. Realized and Expected (Holding Period) Return; 2.3. Required Return; 2.4. Expected Return Estimates from Intrinsic Value Estimates; 2.5. Discount Rate; 2.6. Internal Rate of Return; 3. The Equity Risk Premium; 3.1. Historical Estimates; 3.2. Forward-Looking Estimates; 4. The Required Return on Equity
4.1. The Capital Asset Pricing Model4.2. Multifactor Models; 4.3. Build-Up Method Estimates of the Required Return on Equity; 4.4. The Required Return on Equity: International Issues; 5. The Weighted Average Cost of Capital; 6. Discount Rate Selection in Relation to Cash Flows; 7. Summary; References; Problems; Chapter 3 Introduction to Industry and Company Analysis; Learning Outcomes; 1. Introduction; 2. Uses of Industry Analysis; 3. Approaches to Identifying Similar Companies; 3.1. Products and/or Services Supplied; 3.2. Business-Cycle Sensitivities; 3.3. Statistical Similarities
4. Industry Classification Systems4.1. Commercial Industry Classification Systems; 4.2. Governmental Industry Classification Systems; 4.3. Strengths and Weaknesses of Current Systems; 4.4. Constructing a Peer Group; 5. Describing and Analyzing an Industry; 5.1. Principles of Strategic Analysis; 5.2. External Influences on Industry Growth, Profitability, and Risk; 6. Company Analysis; 6.1. Elements That Should be Covered in a Company Analysis; 6.2. Spreadsheet Modeling; 7. Summary; References; Problems; Chapter 4 Industry and Company analysis; Learning Outcomes; 1. Introduction
2. Financial Modeling: An Overview2.1. Income Statement Modeling: Revenue; 2.2. Income Statement Modeling: Operating Costs; 2.3. Income Statement Modeling: Non-Operating Costs; 2.4. Income Statement Modeling: Other Items; 2.5. Balance Sheet and Cash Flow Statement Modeling; 2.6. Scenario Analysis and Sensitivity Analysis; 3. The Impact of Competitive Factors on Prices and Costs; 4. Inflation and Deflation; 4.1. Sales Projections with Inflation and Deflation; 4.2. Cost Projections with Inflation and Deflation; 5. Technological Developments; 6. Long-Term Forecasting; 7. Building a Model
7.1. Industry Overview
Record Nr. UNINA-9910797606703321
Hoboken, New Jersey : , : Wiley, , 2015
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Equity asset valuation / / Jerald E. Pinto [and four others]
Equity asset valuation / / Jerald E. Pinto [and four others]
Edizione [Third edition.]
Pubbl/distr/stampa Hoboken, New Jersey : , : Wiley, , 2015
Descrizione fisica 1 online resource (622 p.)
Disciplina 332.6
Collana CFA Institute Investment Series
Soggetto topico Investment analysis
Securities - Valuation
Investments - Valuation
ISBN 1-119-10464-5
1-119-10462-9
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Equity Asset Valuation; Contents; Foreword; Preface; Acknowledgments; About the CFA Institute Investment Series; Chapter 1 Equity Valuation: Applications & Processes; Learning Outcomes; 1. Introduction; 2. Value Definitions and Valuation Applications; 2.1. What Is Value?; 2.2. Applications of Equity Valuation; 3. The Valuation Process; 3.1. Understanding the Business; 3.2. Forecasting Company Performance; 3.3. Selecting the Appropriate Valuation Model; 3.4. Converting Forecasts to a Valuation; 3.5. Applying the Valuation Conclusion: The Analyst's Role and Responsibilities
4. Communicating Valuation Results4.1. Contents of a Research Report; 4.2. Format of a Research Report; 4.3. Research Reporting Responsibilities; 5. Summary; References; Problems; Chapter 2 Return Concepts; Learning Outcomes; 1. Introduction; 2. Return Concepts; 2.1. Holding Period Return; 2.2. Realized and Expected (Holding Period) Return; 2.3. Required Return; 2.4. Expected Return Estimates from Intrinsic Value Estimates; 2.5. Discount Rate; 2.6. Internal Rate of Return; 3. The Equity Risk Premium; 3.1. Historical Estimates; 3.2. Forward-Looking Estimates; 4. The Required Return on Equity
4.1. The Capital Asset Pricing Model4.2. Multifactor Models; 4.3. Build-Up Method Estimates of the Required Return on Equity; 4.4. The Required Return on Equity: International Issues; 5. The Weighted Average Cost of Capital; 6. Discount Rate Selection in Relation to Cash Flows; 7. Summary; References; Problems; Chapter 3 Introduction to Industry and Company Analysis; Learning Outcomes; 1. Introduction; 2. Uses of Industry Analysis; 3. Approaches to Identifying Similar Companies; 3.1. Products and/or Services Supplied; 3.2. Business-Cycle Sensitivities; 3.3. Statistical Similarities
4. Industry Classification Systems4.1. Commercial Industry Classification Systems; 4.2. Governmental Industry Classification Systems; 4.3. Strengths and Weaknesses of Current Systems; 4.4. Constructing a Peer Group; 5. Describing and Analyzing an Industry; 5.1. Principles of Strategic Analysis; 5.2. External Influences on Industry Growth, Profitability, and Risk; 6. Company Analysis; 6.1. Elements That Should be Covered in a Company Analysis; 6.2. Spreadsheet Modeling; 7. Summary; References; Problems; Chapter 4 Industry and Company analysis; Learning Outcomes; 1. Introduction
2. Financial Modeling: An Overview2.1. Income Statement Modeling: Revenue; 2.2. Income Statement Modeling: Operating Costs; 2.3. Income Statement Modeling: Non-Operating Costs; 2.4. Income Statement Modeling: Other Items; 2.5. Balance Sheet and Cash Flow Statement Modeling; 2.6. Scenario Analysis and Sensitivity Analysis; 3. The Impact of Competitive Factors on Prices and Costs; 4. Inflation and Deflation; 4.1. Sales Projections with Inflation and Deflation; 4.2. Cost Projections with Inflation and Deflation; 5. Technological Developments; 6. Long-Term Forecasting; 7. Building a Model
7.1. Industry Overview
Record Nr. UNINA-9910818107503321
Hoboken, New Jersey : , : Wiley, , 2015
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui