Cover image for Securlties Analysis and Portfolio Management.
Securlties Analysis and Portfolio Management.
Title:
Securlties Analysis and Portfolio Management.
Author:
Avadhani, V.A.
ISBN:
9789350432235
Personal Author:
Physical Description:
1 online resource (591 pages)
Contents:
COVER -- 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 -- PORTFOLIO MANAGEMENT IN MUTUAL FUNDS -- TRADING IN PORTFOLIO MANAGEMENT -- SECURITIES MARKET REPORT (BSE) -- SELECTED BIBLIOGRAPHY.
Local Note:
Electronic reproduction. Ann Arbor, Michigan : ProQuest Ebook Central, 2017. Available via World Wide Web. Access may be limited to ProQuest Ebook Central affiliated libraries.
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