000 02110nam a22001577a 4500
020 _a9789325963085
082 _a332.6
_bPUN/S
100 _aPunithavathi pandian
245 _aSecurity analysis and portfolio management
260 _aNewdelhi
_bVikas publishing house
_c2013
300 _a559p.
520 _aRecently, even the seasoned professionals find it challenging to invest in stock markets. Students also find the topic of Security Analysis and Portfolio Management complicated. The book gives readers theoretical clarity and exhaustive coverage with an approach suitable for students. It has been written for postgraduate students studying management and commerce. It aims to throw light on this difficult subject. This book has been separated into three parts. The first part gives details on the Indian stock market, the second part entirely focuses on the different aspects of security analysis and the third part has been devoted to portfolio analysis. It includes chapters on introduction to investment and securities, new issue market, the different investment alternatives, secondary markets, securities and Exchange Board of India (ltd), stock market indices, risk, bond return and valuation, stock return and valuation and the fundamental analysis of economic and industry analysis. It also includes chapters on the fundamental analysis and company analysis, indicators and oscillators, the technical analysis, the efficient market theory, portfolio construction, options and futures, portfolio Markowitz model, Sharpe index model, portfolio evaluation and revision, CAPM and arbitrage pricing theory and international portfolio investment. Security Analysis And Portfolio Management was published by Vikas Publishing House in 2012. This is the second edition and is available in paperback. Key Features: This book has been edited and revised and includes new cases and Excel spreadsheet applications, along with more than 20 new sections. The chapters include queries which stimulate the interest of students.
650 _aManagement
700 _aPunithavathi pandian
942 _cBK
999 _c74621
_d74621