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Equity Valuation, Risk and Investment: A Practitioner's Roadmap
John Wiley and Sons Ltd, Feb 2008, Pages: 279
A comprehensive guide to the theory and practice of equity valuation
Equity Valuation, Risk and Investment aims to integrate and apply the theory and quantitative analysis behind today's hottest finance areas to the day-to-day decisions that are being made by portfolio managers, financial planners, investment strategists, security analysts, and other practitioners around the world. Financial professional Peter Stimes combines the breakthrough work of Martin Leibowitz and Merton Miller with case studies on companies like Coca-Cola and Intel. This comprehensive resource covers a wide range of topics including mergers and acquisitions and price volatility.
About the Author
Peter C. Stimes, CFA, is a retired vice president and principal of Flaherty & Crumrine Incorporated. During his sixteen years with F&C, Stimes acted as a portfolio manager, head of quantitative research and securities analysis, and spent several years as treasurer and CFO of the closed-end funds managed by F&C. Stimes is actively involved with the CFA program and has been part of the CFA Voluntary Continuing Education Program since 1985. He has written and coauthored papers presented before the CFA Institute and various regulatory and legislative bodies. Stimes received both his undergraduate degree and his MBA from the University of Chicago.
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