Description
- Assesses a range of approaches to investment analysis and strategy
- Develops an advanced treatment of the subject throughout, while remaining focused on the practical concerns of security analysts
- Features end-of-chapter questions, case studies and references
- Integrates history, theory, technique, and application
This text is an indispensable resource for any serious student of finance.
Online material to accompany this book can be found at www.blackwellpublishing.com/poitras
About the Author
Geoffrey Poitras is Professor of Finance in the Faculty of Business Administration at Simon Fraser University, in Canada. He has worked as a Securities Analyst with the Bank of Canada in Ottawa, and has taught at various international institutions, including the National University of Singapore and Thammasat University in Thailand. Poitras is the author of The Early History of Financial Economics,1478-1776 (2000); and Risk Management, Speculation, and Derivative Securities (2002) and has published numerous articles in the areas of finance, accounting, and economics.
Reviews
"What sets Poitras' book apart is not only the comprehensive and rigorous treatment of the subject of investments and security analysis but also the way in which he cradles it in its philosophy, history and core theory. I strongly recommend this text for those serious enough to seek an advanced study of the field." Andrew Karolyi, OhioStateUniversity
"Poitras's new investments textbook is a tour de force. Unlike most investments texts it breaks new ground in putting 'modern' finance into perspective and linking what we as academics think we know with the views on the street. In this it develops those most elusive commodities: wisdom and judgment." Lawrence Booth, Rotman School of Managment, University of Toronto
Book Information
ISBN 9781405112482
Author Geoffrey Poitras
Format Hardback
Page Count 688
Imprint Wiley-Blackwell
Publisher John Wiley and Sons Ltd
Weight(grams) 1592g
Dimensions(mm) 254mm * 196mm * 32mm