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Chapter 1 Prices
Chapter 2 Individual Security Returns
Chapter 3 Portfolio Returns
Chapter 4 Risk
Chapter 5 Factor Models
Chapter 6 Risk-Adjusted Portfolio Performance Measures
Chapter 7 Markowitz Mean-Variance Optimization
Chapter 8 Fixed Income
Chapter 9 Options
Appendix A Getting Started with R. Appendix B Constructing a Hypothetical Portfolio.

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