|Paperback 2012, 2nd Edition||R 347||In Stock.|
About the Book :
This comprehensive book provides clear concepts and a plethora of Indian examples and is aimed at simplifying the subject for students. This book is targeted at post-graduate students of management and commerce. The book offers conceptual clarity, in-depth coverage and the Indian context with its emphasis on a student-friendly approach and an attempt to demystifying the tough subject. The book is divided into three parts.Part I elaborates the basics of investment and different forms of securities of the Indian stock markets. Part II exclusively deals with the different aspects of Security Analysis. Part III is devoted to Portfolio Analysis.
About the Author :
Dr. Punithavathy Pandian is currently Professor, Department of Commerce, Madurai Kamaraj University. She is an active researcher and a teacher with an experience of twenty-five years. She has published many papers in various Management and Commerce journals and has also presented papers in various conferences. She is an active member of the Indian Economic Association, Indian Society of Labour Economics, Indian Association of Social Sciences and Association of Economists. Her areas of interest include Financial Systems and Stock Markets.
1.Introduction to Investment and Securities, 2.Investment Alternatives, 3.New Issue Market, 4.The Secondary Market, 5.Listing of Securities, 6.BSE, NSE, ISE, OTCEI, and NSDL, 7.Stock Market Indices, 8.The Securities and Exchange Board of India, 9.Risk, 10.Bond Return and Valuation, 11.Stock Return and Valuation, 12.Fundamental Analysis, 13.Technical Analysis, 14.Efficient Market Theory, 15.Options and Futures, 16.Portfolio Construction, 17.Portfolio-Markowitz Model, 18.The Sharpe Index Model, 19.Capital Asset Pricing Theory and Arbitrage Pricing Theory, 20.Portfolio Evaluation, 21.Portfolio Revision
|Title:||Security Analysis And Portfolio Management||Publisher:||Vikas Publishing House|
|No. of Pages:||484|
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