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SECURITY ANALYSIS & PORTFOLIO MANAGEMENT (Code: MBAFM-104)

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SECURITY ANALYSIS & PORTFOLIO MANAGEMENT
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SECURITY ANALYSIS & PORTFOLIO MANAGEMENT SECURITY ANALYSIS & PORTFOLIO MANAGEMENT
 

SECURITY ANALYSIS & PORTFOLIO MANAGEMENTSOLVED PAPERS AND GUESS

 

Product DetailsJaipur National University SECURITY ANALYSIS & PORTFOLIO MANAGEMENT

Pub. Date: NEW EDITION APPLICABLE FOR Current EXAM

Publisher: MEHTA SOLUTIONS

Edition Description: 2016-17

 

RATING OF BOOK: EXCELLENT

 

ABOUT THE BOOK

FROM THE PUBLISHER
If you find yourself getting fed up and frustrated with other ignou book solutions now mehta solutions brings top solutions for ignou. this Jaipur National University contains Notes plus faculty important questions and answers specially for ignou .questions and answers are specially design specially for ignou students . 
 
 
 

 

SECURITY ANALYSIS & PORTFOLIO MANAGEMENT


Introduction to Security Analysis : Concept of Securities - Objectives of Security Analysis -Types of Securities. Listing of securities cost of investing in securities, mechanism of investing, Valuation of Securities: Valuation Theories of Fixed and Variable Income Securities - Valuation and Market Price- Security Credit Rating. Markets and brokers, investment companies, market indices and return, government securities, non security forms of investment, real estate investment, investment instruments of the money market.


Risk and Return : Concepts of Risk & Return - Diversification of Risk – Efficient Market  Theory.


Stock Market Analysis : Fundamental Technical Approach, Types, Functions, Listing, Different Stock Exchange in India, Market Index, Recent Developments in the Indian stock Market.


Introduction to Portfolio Management : Concept of Portfolio, Composition of Portfolio Management, Objectives of Portfolio Management, Portfolio Theory : Optimum Portfolio Selection Problem , Markowitz Portfolio Theory - Mean Variance Criteria (MVC) - MVC and Portfolio Selection - Portfolio Selection.


Portfolio Models : Sharp Single Index Model – (APM Model - Factor Model ) – Arbitrage Pricing Theory, Efficient Market Theory and portfolio, Tracing the efficient portfolio. Portfolio Mixes : Investment in Liquid Asset, Portfolio of Two Risky Securities, A Three Security Portfolio – The relationship between the Unleveraged and Leveraged Portfolio, Bond Portfolio Management.


Investment & Portfolio Strategies : Portfolio Investment Process, Corporate Investment & Portfolio. Practical problems in security analysis and portfolio management.


Portfolio Management in India : Portfolio Consultancy - National & International Portfolio mixes.

Old price: 500.00 Rs
Price: 350.00 Rs
Delivery time: 2-5 days
Weight: 0.5 Kg
Quantity: 
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