The Financial Times guide to understanding finance : (Record no. 5001)

MARC details
000 -LEADER
fixed length control field 02103nam a22002654a 4500
005 - DATE AND TIME OF LATEST TRANSACTION
control field 20260112063325.0
010 ## - LIBRARY OF CONGRESS CONTROL NUMBER
LC control number 2011-005720
020 ## - INTERNATIONAL STANDARD BOOK NUMBER
International Standard Book Number 9780273738022
039 ## - LEVEL OF BIBLIOGRAPHIC CONTROL AND CODING DETAIL [OBSOLETE]
Level of rules in bibliographic description 202110271317
Level of effort used to assign nonsubject heading access points staff
Level of effort used to assign subject headings 201607081633
Level of effort used to assign classification staff
Level of effort used to assign subject headings 201601061243
Level of effort used to assign classification staff
-- 201601061241
-- staff
082 ## - DEWEY DECIMAL CLASSIFICATION NUMBER
Classification number 658.15
Item number EST [ Shelf no. 45 ]
100 ## - MAIN ENTRY--PERSONAL NAME
Personal name Estrada, Javier,
Dates associated with a name 1964-
245 ## - TITLE STATEMENT
Title The Financial Times guide to understanding finance :
Remainder of title a no-nonsense companion to financial tools and techniques /
Statement of responsibility, etc. Javier Estrada.
246 ## - VARYING FORM OF TITLE
Title proper/short title Guide to understanding finance
250 ## - EDITION STATEMENT
Edition statement 2nd ed.
260 ## - PUBLICATION, DISTRIBUTION, ETC.
Place of publication, distribution, etc. New York :
Name of publisher, distributor, etc. Pearson/Prentice Hall,
Date of publication, distribution, etc. c2011.
300 ## - PHYSICAL DESCRIPTION
Extent xix, 410 p. :
Other physical details ill. ;
Dimensions 24 cm.
500 ## - GENERAL NOTE
General note Previously published under title: Finance in a nutshell.
504 ## - BIBLIOGRAPHY, ETC. NOTE
Bibliography, etc. note Includes bibliographical references and index.
505 ## - FORMATTED CONTENTS NOTE
Formatted contents note Risk and return -- Returns I: basic concepts -- Returns II: mean returns -- Risk I: total risk -- Risk and return I: portfolios -- Risk II: diversification -- Risk III: systematic risk -- Risk and return II: capm and the cost of capital -- Risk and return III: the three-factor model -- Risk IV: downside risk -- Risk and return IV: risk-adjusted returns -- Risk and return V: portfolio optimization -- Risk and return VI: the long term -- Valuation -- Stocks I: the dividend discount model -- Stocks II: the wacc model -- Stocks III: other dcf models -- Stocks IV: reverse valuation -- Stocks v: relative valuation -- Bonds I: prices and yields -- Bonds II: default risk and market risk -- Bonds III: duration and convexity -- Other important topic -- Npv and IRR -- Real options -- Corporate value creation -- Options -- Futures and forwards -- Currencies -- Statistical background -- Stats I: summary statistics -- Stats II: normality -- Stats III: non-normality -- Stats IV: regression analysis.
650 ## - SUBJECT ADDED ENTRY--TOPICAL TERM
Topical term or geographic name entry element Business enterprises
General subdivision Finance
Form subdivision Handbooks, manuals, etc.
650 ## - SUBJECT ADDED ENTRY--TOPICAL TERM
Topical term or geographic name entry element Corporations
General subdivision Finance
Form subdivision Handbooks, manuals, etc.
991 ## -
-- VIRTUA40
991 ## -
-- VTLSSORT0080*0100*0200*0820*1000*2450*2460*2500*2600*3000*5000*5040*5050*6500*6501*9992
909 ## -
-- 5543
Holdings
Withdrawn status Lost status Damaged status Not for loan Home library Current library Date acquired Total checkouts Full call number Barcode Copy number Koha item type
        Indian Institute Of Management, Shillong Indian Institute Of Management, Shillong 06/01/2016   658.15 EST [ Shelf no. 45 ] 0012018   Reference
        Indian Institute Of Management, Shillong Indian Institute Of Management, Shillong 06/01/2016   658.15 EST [ Shelf no. 45 ] 0012019 1 Book
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