Investment Analysis and Portfolio Management

Product Enquiry

Investment Analysis And Portfolio Management is a great handbook for students of finance. It teaches them ways to maximize the benefit from the money that is earned. This book provides students with considerable information on mixing investment instruments and capital markets. The material in the book is not overtly quantitative but is empirical and rigorous enough to suit the requirements of students who are preparing for the CFA Examination. The contents of the book are divided into seven sections which covers different topics in details. The broader headings such as The Investment Background, Analysis and Management of Common Stocks, and others are divided into several subheadings. The topics discussed also include international issues.

Frank Reilly and Keith Brown are the joint authors of this book. Frank Reilly is the Bernard J. Hank Professor of Finance at the University of Notre Dame. Applied investment management, capital budgeting, fixed income analysis, and investments are among the courses that he teaches. His works include Investment, 6/ed, 818 Pages, and The Analysis of High Yield Bond Indices. Keith Brown is the University Distinguished Teaching Professor & Fayez Sarofim Fellow of the Department of Finance in the University of Texas at Austin. He is also the Associate Editor for Journal of Investment Management and Journal of Behavioral Finance.




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