SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT - 6TH - NEW DELHI PEARSON 2013 - 703

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FINANCIAL ECONOMICS

1. INTRODUCTION TO SECURITIES. 2. MARKETS FOR SECURITIES AND TAXES. 3. RISK AND RETURN. 4. ECONOMIC ANALYSIS. 5. INDUSTRY ANALYSIS. 6. COMPANY ANALYSIS: MEASURING EARNINGS. 7. COMPANY ANALYSIS: FORECASTING EARNINGS. 8. COMPANY ANALYSIS: APPLIED VALUATION. 9. BOND ANALYSIS; RETURNS AND SYSTEMATIC RISK. 10. BOND ANALYSIS: UNSYSTEMATIC RISK. 11. BOND MANAGEMENT STRATEGIES. 12. OPTIONS. 13. RIGHTS, WARRANTS AND CONVERTIBLES. 14. FUTURES. 15. TECHNICAL ANALYSIS. 16. EFFICIENT—MARKET THEORY 17. PORTFOLIO ANALYSIS. 18. PORTFOLIO SELECTION. 19. CAPITAL MARKET THEORY. 20. MANAGED PORTFOLIOS AND PERFORMANCE MEASUREMENTS.

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