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Securities analysis and portfolio management / V.A. Avadhani

By: Avadhani, V. AMaterial type: TextTextLanguage: English Publisher: New Delhi : Himalaya Pub. House, 2007Edition: 8th Rev. edDescription: 582 pages : illustrations ; 23 cmISBN: 8183186564Subject(s): Investments | Investment analysis | Portfolio managementDDC classification: 332.6
Contents:
Contents -- Introduction To Securities -- Markets For Securities And Taxes -- Risk And Return - Concepts And Analysis -- Economic Analysis -- Industry Analysis -- Basis For Company Analysis -- Company Studies And Earnings Forecasts -- Company Analysis And Equity Research -- Security Pricing -- Financial Arithmetics For Equity And Bonds -- Bond Analysis -Macro-Level -- Bond Analysis -Micro-Level -- Bond Management Strategies -- Options Trading -- Valuation Of Rights, Warrants And Convertible Claims -- Futures Trading -- Fundamental Analysis -- Technical Analysis -- Efficient Market Theory(Random Walk Hypothesis) -- Introduction To Portfolio Theory -- Capital Market Theory -- Risk And Return In Portfolio Management -- Capital Asset Pricing Model(Capm) -- Portfolio Analysis -- Diversification And Techniques Of Risk Reduction -- Basics Of Portfolio Management In India -- Markowitz Model -- Modern Portfolio Theory -- Portfolio Management:Construction, Revision And Evaluation -- Portfolio Management By Corporates -- Linear Programming Application -- Mutual Funds and Their Schemes -- Disinvestment Management -- Securities Market Report(Bse) -- Selected Bibliography.
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Item type Current location Collection Call number Status Date due Barcode
Books Institute of Public Enterprise, Library
S Campus
Donation RBI 332.6 AVA (Browse shelf) Available 44854

Contents --
Introduction To Securities --
Markets For Securities And Taxes --
Risk And Return - Concepts And Analysis --
Economic Analysis --
Industry Analysis --
Basis For Company Analysis --
Company Studies And Earnings Forecasts --
Company Analysis And Equity Research --
Security Pricing --
Financial Arithmetics For Equity And Bonds --
Bond Analysis -Macro-Level --
Bond Analysis -Micro-Level --
Bond Management Strategies --
Options Trading --
Valuation Of Rights, Warrants And Convertible Claims --
Futures Trading --
Fundamental Analysis --
Technical Analysis --
Efficient Market Theory(Random Walk Hypothesis) --
Introduction To Portfolio Theory --
Capital Market Theory --
Risk And Return In Portfolio Management --
Capital Asset Pricing Model(Capm) --
Portfolio Analysis --
Diversification And Techniques Of Risk Reduction --
Basics Of Portfolio Management In India --
Markowitz Model --
Modern Portfolio Theory --
Portfolio Management:Construction, Revision And Evaluation --
Portfolio Management By Corporates --
Linear Programming Application --
Mutual Funds and Their Schemes --
Disinvestment Management --
Securities Market Report(Bse) --
Selected Bibliography.

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