This book covers the characteristics and analysis of individual securities as well as the theory and practice of optimally combining securities into portfolios. Stressing the economic intuition behind the subject matter, this classic text pres-ents advanced concepts of investment analysis and portfolio management.
It can be used for courses in both portfolio theory and in investment analysis that have an emphasis on portfolio the-ory. It can also be used in a course in investments where both portfolio analysis and security analysis are discussed.
The authors' goal has been to make all the material in this text accessible to students of portfolio analysis and invest-ment management, both at the undergraduate and graduate levels while maintaining the rigor through the use of ap-pendices which can be used in conjunction with the text.
这个版本的投资组合分析教材是国外最流行的,它侧重于投资组合方面的介绍,难度较大,也比较有深度
目前市面上见不到第七版的习题答案,但是这个第六版的习题答案其实很全,和第七版相比并无太大变化
共23章,因为第2、3、及26章无习题