000 | 01194nam a22001697a 4500 | ||
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999 |
_c20455 _d20455 |
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020 | _a812591084 | ||
041 | _aENG | ||
082 |
_a332.632 _bPAN |
||
100 | _aPandian, Punithavathy | ||
245 |
_aSecurity analysis and portfolio management / _cPunithavathy Pandian |
||
260 |
_aNew Delhi : _bVikas Publishing House Pvt Ltd., _c2001. |
||
300 |
_a464 pages : _billustrations ; _c24 cm. |
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505 | _aPt. 1. INDIAN STOCK MARKET -- Introduction to investment and securities -- Investment alternatives -- New issue market -- The secondary market -- Listing of securities -- BSE, NSE, ISE, OTCEI, and NSDL -- Stock market indices -- The securities and exchange board of India -- Pt. 2. SECURITY ANALYSIS Risk -- Bond return and evaluation -- Stock return and valuation -- Fundamental analysis -- Technical analysis -- Efficient market theory -- Options and futures -- Pt. 3. PORTFOLIO MANAGEMENT Portfolio construction -- Portfolio-Markowitz model -- The sharp index model -- Capital asset pricing theory and arbitrage pricing theory -- Portfolio evaluation -- Portfolio revision. | ||
650 | _aInvestment analysis. | ||
650 | _aPortfolio management. | ||
942 |
_2ddc _cBK |