Investment Management

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Author: Avadhani, V.A.
Publisher: Himalaya Publishing House
Edition: 8th Edition
ISBN-13: 9789350248720
Publishing year: 2019
No of pages: 608
Weight: 1 kg 364 grm
Language: English
Book binding: Paperback

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The theory and principles of Investment Management remain unaltered but the backdrop of the operations of investment and the practices and procedures of investment management change from time to time. The financial markets in which most of the operations take place are a reflection of the economy and its performance. The economic and financial reforms in India are a continuing process and these affect the operations in the financial markets. The changes are to be incorporated in any revision of a book of this nature, which is being used by students of finance whether in MBA or M.com. or any other professional course. This is the rationale of the present revision, which hopefully helps the student update the information relevant to the area. Contents : PART I : INVESTMENT SETTING 1. Securities Markets 2. Savings And Investment 3. Macro aspects of Savings and Investments 4. Financial System − Intermediation 5. Investment Avenues 6. Features of Investment Avenues 7. Tax Planning for Investment PART II : MONEY AND CAPITAL MARKETS AND INSTITUTIONS 8. Overview of Capital Market 9. Institutional Structure in Capital Market 10. Capital Market Reforms 11. New Issues Market and Problems 12. Money Market and its Instruments 13. The Securities and Exchange Board of India (SEBI) PART III : SECONDARY MARKETS IN INDIA 14. Securities Trading Regulations 15. Instruments of Issue and Trading 16. Stock Markets in India 17. OTCEI, NSE and ICSE 18. Stock Market Operations and Functions 19. Trading in the Stock Market PART IV : SECURITY ANALYSIS 20. Sources of Investment Information 21. Inflation and Investments 22. Security Market Analysis 23. Investment Decision Making 24. Financial Analysis and Interpretation 25. Balance Sheet Analysis and Blue Chips 26. Fundamental Analysis 27. Technical Analysis of the Market 28. Efficient Market Theory PART V : RISK AND RETURN CONCEPTS AND MEASUREMENT 29. Risk and Credit Rating 30. Security Market Indicators 31. Interest rates − Theory and Structure PART VI : VALUATION OF STOCKS AND BONDS 32. Financial Arithmetic’s 33. Security Pricing 34. Investment Analysis and Theory 35. Valuation of Bonds − Bond Market 36. Valuation of Contingent Claims and Options PART VII : PORTFOLIO THEORY AND MANAGEMENT 37. Risk and Return in Portfolio Management 38. Capital Asset Pricing Model (CAPM) 39. Portfolio Analysis 40. Diversification and Techniques of Risk Reduction 41. Markowitz Model 42. Basics of Portfolio Management in India 43. Modern Portfolio Theory 44. Portfolio Management: Construction Revision and Evaluation 45. Mutual Funds and Their Schemes 46. Disinvestment Management 47. Securities Market Report (BSE)