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Overview
Teach students the theory and skills to implement investment tasks with Adair/Nofsinger's "Foundations of Investments: An Introduction." From theory to practice to implementation, examples, learning features, MindTap and Excel present a theory, then illustrate and solve investment processes using spreadsheets. Understand math and visualize portfolio construction with theory, and illustrate the implications of diversification in mutual funds and other portfolios through practice. The authors demonstrate how to optimize return under the constraints of minimizing risk. Students implement functions for different returns, data handling, probability distributions and regression analysis and examine graphing tools to chart in technical analysis. This edition covers crypto investing, financial planning, behavioral aspects of investing and discusses environmental, social and governance investing.
1. Introduction to Investments.
2. Types and Attributes of Financial Instruments.
3. Securities Markets and Transactions.
4. Mutual Funds and Other Investment Companies.
Part II: PORTFOLIO THEORY.
5. Measuring Return and Risk.
6. Portfolios and Diversification.
7. Risk-Free and Risky Asset Allocation and the CAPM.
8. Asset Pricing Models and Efficient Markets.
9. Portfolio Performance Analytics.
Part III: INVESTING IN STOCK.
10. The Macroeconomic Environment for Investment Decisions.
11. Valuing Common Stock.
12. Valuing Preferred Stock.
Part IV: INVESTING IN DEBT.
13. Valuing Corporate Bonds.
14. Valuing Government Securities.
Part V: IN VESTING IN DERIVATIVE SECURITIES.
15. An Introduction to Futures Contracts and Options.
16. Derivative Valuation and Strategies.
Part VI: SPECIAL TOPICS.
17. Technical Analysis.