SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT
Material type: TextPublisher: NEW DELHI VIKAS 2013Edition: 2NDDescription: 557ISBN: 9789325963085Subject(s): FINANCIAL ECONOMICS | 1. INTRODUCTION TO INVESTMENT AND SECURITIES 2. INVESTMENT ALTERNATIVES 3. NEW ISSUE MARKET 4. SECONDARY MARKET 5. STOCK MARKET INDICES 6. SECURITIES AND EXCHANGE BOARD OF INDIA (LTD) 7. RISK 8. BOND RETURN AND VALUATION 9. STOCK RETURN AND VALUATION 10. FUNDAMENTAL ANALYSIS: ECONOMIC AND INDUSTRY ANALYSIS 11. FUNDAMENTAL ANALYSIS: COMPANY ANALYSIS 12. TECHNICAL ANALYSIS 13. INDICATORS AND OSCILLATORS 14. EFFICIENT MARKET THEORY 15. OPTIONS AND FUTURES 16. FUTURES 17. PORTFOLIO CONSTRUCTION 18. PORTFOLIO MARKOWITZ MODEL 19. SHARPE INDEX MODEL 20. CAPM AND ARBITRAGE PRICING THEORY 21. PORTFOLIO EVALUATION 22. PORTFOLIO REVISION 23. INTERNATIONAL PORTFOLIO INVESTMENTDDC classification: 332.6,PANItem type | Current location | Collection | Call number | Status | Date due | Barcode |
---|---|---|---|---|---|---|
FCM Books | SGT Science & Social Sciences Library On Display | COMMERCE MANAGEMENT | 332.6,PAN (Browse shelf) | Available | CM789 | |
FCM Books | SGT Science & Social Sciences Library On Display | COMMERCE MANAGEMENT | 332.6,PAN (Browse shelf) | Available | CM790 | |
FCM Books | SGT Science & Social Sciences Library On Display | COMMERCE MANAGEMENT | 332.6,PAN (Browse shelf) | Available | CM791 |
Browsing SGT Science & Social Sciences Library shelves, Shelving location: On Display, Collection: COMMERCE MANAGEMENT Close shelf browser
No cover image available | ||||||||
332.632042,CHA INVESTMENT ANALYSIS AND PORTFOLIO MANAGEMENT | 332.6457,ROY FINANCIAL AND COMMODITIES DERIVATIVES | 332.6,FIS SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT | 332.6,PAN SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT | 332.6,PAN SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT | 332.6,PAN SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT | 332 GUL BANKING AND INSURANCE PRINCIPLES & PRACTICE |
There are no comments on this title.