A Modern Framework for Understanding Investment Science and Market Analysis
The 10th Edition of BKM Financial Investments has been developed as a comprehensive textbook for the study and application of investment analysis.
This new edition continues the tradition of the original — maintaining the most clear, accessible, and foundational theories, while removing unnecessary technical and mathematical complexity.
Beyond academic principles, the book focuses on the real issues that matter most to modern investors. It serves as both a learning framework and a practical reference — equipping readers with the analytical skills and professional mindset needed to evaluate markets effectively and make sound investment decisions.
🔍 What’s New in This Edition
This edition places a stronger emphasis on changes in the global investment environment, including the lessons learned from the recent financial crises. It simplifies and refines traditional theories to focus on timeless, applicable principles that can be used in today’s fast-evolving financial landscape.
These concepts are particularly valuable for those active in global markets — from equities and bonds to futures, options, derivatives, and alternative investments. Many of the book’s frameworks and models also align closely with the CFA (Chartered Financial Analyst) curriculum, making it an essential foundation for aspiring finance professionals.
🧩 Book Structure & Core Topics
Part I: Introduction
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The Investment Environment
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Asset Classes and Financial Instruments
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How Securities Are Traded
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Mutual Funds and Other Investment Companies
Part II: Portfolio Theory and Practice
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Risk, Return, and Historical Data
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Allocating Capital to Risky Assets
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Optimal Risk Portfolios
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The Index Model
Part III: Asset Pricing Models
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The Capital Asset Pricing Model (CAPM)
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Arbitrage Theory and Multifactor Models
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The Efficient Market Hypothesis
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Behavioral Finance
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Empirical Evidence on Stock Returns
Part IV: Fixed Income Securities
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Bond Prices and Yields
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The Term Structure of Interest Rates
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Bond Portfolio Management
Part V: Security Analysis
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Macroeconomic and Industry Analysis
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Equity Valuation Models
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Financial Statement Analysis
Part VI: Derivatives and Risk Management
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Options Markets: An Introduction
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Option Pricing
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Futures Markets
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Futures, Swaps, and Risk Management
Part VII: Portfolio Management Practices
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Portfolio Performance Evaluation
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Global Diversification
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Hedge Funds
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Active Portfolio Management Theory
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CFA Institute Investment Policy and Framework
💬 Reader & Expert Reviews
Many financial professionals — both in Vietnam and internationally — regard BKM Financial Investments as one of the most academically rich and insightful books in modern finance.
While its content is dense and intellectually demanding, those who study it carefully, combine reading with real-world practice, and apply the principles step-by-step often find it transformative.
It builds a solid foundation of investment knowledge — one that gradually changes how you perceive and interpret the world of finance.
After completing Part V: Security Analysis, readers begin to understand why stock analysis matters, and how to examine everything from macroeconomic influences to the micro-level details of a company’s financial statements. This foundation allows investors to better evaluate a company’s profitability, cost structure, business model, and financial health.
The section on Derivatives and Risk Management introduces the fundamentals of futures, options, and swaps — essential tools for anyone who wishes to understand and manage risk in modern financial markets.
By the end of the book, readers will not only understand how markets function, but also how to think like professional investors, equipped with analytical rigor, strategic insight, and a deep appreciation of risk and return.
🎯 In Summary
BKM Financial Investments remains one of the most respected textbooks in global finance — a bridge between academic theory and practical investment reality.
It is not merely a book to read, but a guide to mastering the logic of markets and the discipline of investing.

