Security analysis and portfolio management / M. Ranganatham and R. Madhumathi
Material type: TextPublication details: Chennai : Pearson , c2012Edition: 2nd edDescription: xxv766 p. ill.; 25 cmISBN: 9788131759202 (pb)Other title: Security analysis & portfolio management [Cover title]Subject(s): Investment analysis | Portfolio managementDDC classification: 332.6320973Item type | Current library | Call number | Status | Date due | Barcode | Item holds |
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General Books | Central Library, Sikkim University General Book Section | 332.6320973 RAN/S (Browse shelf(Opens below)) | Available | GB3465 | ||
General Books | Central Library, Sikkim University General Book Section | 332.6320973 RAN/S (Browse shelf(Opens below)) | Available | P31568 |
Browsing Central Library, Sikkim University shelves, Shelving location: General Book Section Close shelf browser (Hides shelf browser)
332.6320973 PAN/S Security Analysis and Portfolio Management | 332.6320973 PAN/S Security Analysis and Portfolio Management. | 332.6320973 RAN/S Security analysis and portfolio management / | 332.6320973 RAN/S Security analysis and portfolio management / | 332.63232973 KIN/I The independent treasury of the United States/ | 332.63234 HAY/C Corporate social responsibility: Research handbook/ | 332.6327 LOW/I The investors's Dilemma/ |
Includes glossary and index.
1. An Overview of Financial Markets
2. Stock Exchanges in India
3. Stock Market Regulation
4. Services of Intermediaries
5. Investment Opportunities
6. Debt Instruments and Their Valuation
7. Equity Instruments and Their Valuation
8. Derivatives and Their Valuation
9. Fundamental Analysis I: Economic Analysis
10. Fundamental Analysis II: Industry Analysis
11. Fundamental Analysis III: Company Analysis
12. Technical Analysis I: Charting Tools
13. Technical Analysis II: Tools
14. Risk Management with Derivatives
15. Portfolio Risk Analysis
16. Portfolio Theory
1 7. Portfolio Building Process
18. Mutual Fund Management
19. Portfolio Performance Evaluation
20. Portfolio Management
21. Forecasting Portfolio Performance
22. Hedging Portfolio Risk
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