Security Analysis and Portfolio Management

Samuel Thomas

Verlag: PHI Learning 0, 2014
ISBN 10: 8120348303 / ISBN 13: 9788120348301
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This book on Security Analysis and Portfolio Management is a comprehensive source of information and analysis for students and practitioners. The distinguishing feature of the book is the detailed coverage of the regulatory environment, which consists of the current and updated rules and regulations, tax-environment and the practice of investment in the securities market in India. The book has been written keeping in mind the potential investor and an average student. It addresses all their doubts and concerns and makes them informed about the money market. This well organised, lucidly written text covers various aspects of the portfolio management, ranging from analysis to revision and then performance evaluation of the portfolio. Also discusses in detail the securities market, derivatives and risk evaluation that helps in understanding the trading system better and making quality investment decisions. Besides explaining the theoretical concepts of portfolio management, the book provides a detailed analysis of the latest development in the securities trading. It is meant to be a ?single window book? covering the SAPM syllabus of almost all the Indian Universities and institutes conducting MBA/PGDM or MCom programmes. The book will be equally useful for the students of ICAI, ICWAI as well as for investment courses conducted by NSE. Key Features ? Easy to understand by the readers even if they have not been exposed to higher mathematics. ? Vast coverage of the SAPM topics. ? Several worked-out problems in relevant chapters to aid and assist students and teacher alike. ? Detailed discussion on Indian stock and share market in context to the country?s current scenario. Contents: Preface Acknowledgements 1. Flow of Funds in Financial Markets 2. Expected Return and Risk 3. Different Types of Securities 4. Securities Market in India 5. Laws Relating to Securities in India 6. Direct Tax Laws in India 7. Stock Market Indices 8. Price Determination of a Security 9. Diversification and Portfolio Analysis 10. Characteristic Line, Capital Asset Pricing Model (CAPM) and Arbitrate Pricing Theory (APT) 11. Bond Valuation 12. Interest Rate Risk 13. Default Risk of Bond 14. Valuation of Common Shares 15. Fundamental Analysis 16. Technical Analysis 17. Behaviour of Stock Market Prices 18. Portfolio Performance: Evaluation and Revision Supplement: Sources of Financial Information Index Printed Pages: 256. Buchnummer des Verkäufers 74818

Bibliografische Details

Titel: Security Analysis and Portfolio Management
Verlag: PHI Learning 0
Erscheinungsdatum: 2014
Einband: Softcover
Zustand: New
Auflage: First edition.

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Fischer, Donald E.; Jordan, Ronald J.
Verlag: Prentice Hall
ISBN 10: 0137991495 ISBN 13: 9780137991495
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Buchbeschreibung Prentice Hall. Hardcover. Buchzustand: Very Good. 0137991495 Fifth edition. Very good. Quality, Value, Experience. Media Shipped in New Boxes. Artikel-Nr. BING63358

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JAY M DESAI, NISARG A JOSHI
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Buchbeschreibung "This book on Investment Management / Security Analysis and Portfolio Management (SAPM) presents information in a standardized and student-friendly format. The content flows seamlessly from one concept to another. Each chapter contains a list of learning objectives, an introduction to the concept, discussions on relevant topics, a conclusion and a summary. The key terms used in the chapters are summarized with brief definitions. Artikel-Nr. WILEY-9789351194286

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Ambika Prasad Dash
Verlag: Part Three discusses the most important analysis in investment decisions, wherein good mathematical models are factored in and applied to live conditions through building up case analysis. ? Part Four deals with the exotic instruments of derivatives and its applications, where cutting-edge research around the globe is going on. The book is designed to meet the expectations of common investors as well as hard core professionals (fund managers) in putting the precious resources at risk for higher returns. New in this edition: The following chapters are added to make the book more result oriented, contemporary, focused and comprehensive. ?
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Buchbeschreibung Part Three discusses the most important analysis in investment decisions, wherein good mathematical models are factored in and applied to live conditions through building up case analysis. ? Part Four deals with the exotic instruments of derivatives and its applications, where cutting-edge research around the globe is going on. The book is designed to meet the expectations of common investors as well as hard core professionals (fund managers) in putting the precious resources at risk for higher returns. New in this edition: The following chapters are added to make the book more result oriented, contemporary, focused and comprehensive. ?. Sub-prime crisis and securitization ?. Private equity ". "Security Analysis and Portfolio Management endeavours to provide concepts, text and cases for a course on Security Analysis and Portfolio Management, which is widely taught in the business schools around the world. It is consciously planned to help students to acquire knowledge, develop analytical skills and gain insights pertaining to how a fund manager strikes winning strategies for investment by using time-tested, validated and proven techniques which ranges from fundamental analysis to mundane mathematical models. The book is divided in four broad parts. ? Part Two deals with the critical aspects of risk and return culminating in Capital Asset Pricing Model (CAPM). ? Part One describes the global investment scenario, major investment decisions, and the dynamics of the securities markets. ?. Artikel-Nr. IK-9789380026138

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Latané und Tuttle:
Verlag: Ronald Press N.Y., (1970)
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Buchbeschreibung Ronald Press N.Y., 1970. 752 Sprache: Deutsch Gewicht in Gramm: 1050 Gr.-8° (22 - 25 cm), Gbd. Ln. ohne OU.;Zustand: 2, Altersentsprechend, gut erhalten, minimal berieben, ordentl. Zust.; Artikel-Nr. 41840

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Lee, Cheng F. a. o.
Verlag: Scott, Foresman and Company Glenview-Brighton (1990)
ISBN 10: 067338635X ISBN 13: 9780673386359
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Buchbeschreibung Scott, Foresman and Company Glenview-Brighton, 1990. Format. 3 790 Seiten Guter Zustand/ Good With figures and tables. Ex-Library. Hardcover. Artikel-Nr. ha1026353

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