Investment analysis and portfolio management Prasanna Chandra
Material type: TextLanguage: English Publication details: Chennai Mc GrawHill 2023Edition: 6th edDescription: various pages P.BISBN: 9789354600074Subject(s): INVESTMENT ANALYSISDDC classification: R 332.6 CHA(INV)Ed6Item type | Current library | Collection | Call number | Vol info | Copy number | Status | Date due | Barcode | Item holds |
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MBA Referance | St. Xavier's University, Kolkata Reference Section | Reference | R 332.6 CHA(INV)Ed6 (Browse shelf (Opens below)) | S.X.U.K | 3876 | Not For Loan | UM3876 | ||
MBA - Masters on Business Administration | St. Xavier's University, Kolkata Lending Section | 332.6 CHA(INV)Ed6 (Browse shelf (Opens below)) | S.X.U.K | 3877 | Available | M3877 | |||
MBA - Masters on Business Administration | St. Xavier's University, Kolkata Lending Section | 332.6 CHA(INV)Ed6.C1 (Browse shelf (Opens below)) | S.X.U.K | 3878 | Available | M3878 | |||
MBA - Masters on Business Administration | St. Xavier's University, Kolkata Lending Section | 332.6 CHA(INV)Ed6.C2 (Browse shelf (Opens below)) | S.X.U.K | 3879 | Available | M3879 | |||
MBA - Masters on Business Administration | St. Xavier's University, Kolkata Lending Section | 332.6 CHA(INV)Ed6.C3 (Browse shelf (Opens below)) | S.X.U.K | 3880 | Available | M3880 | |||
MBA - Masters on Business Administration | St. Xavier's University, Kolkata Lending Section | 332.6 CHA(INV)Ed6.C4 (Browse shelf (Opens below)) | S.X.U.K | 3881 | Available | M3881 | |||
MBA - Masters on Business Administration | St. Xavier's University, Kolkata Lending Section | 332.6 CHA(INV)Ed6.C5 (Browse shelf (Opens below)) | S.X.U.K | 3882 | Available | M3882 |
TABLE OF CONTENTS
Part 1 Introduction
Chapter 1 Overview: A Broad Map of the Territory
Chapter 2 Investment Alternatives: Choices Galore
Chapter 3 Securities Market: The Battlefield Part 2 Basic Concepts and Methods
Chapter 4 Risk and Return: Two Sides of the Investment Coin
Chapter 5 The Time Value of Money: The Magic of Compounding
Chapter 6 Financial Statement Analysis: The Information Maze Part 3 Modern Portfolio Theory
Chapter 7 Portfolio Theory: The Benefits of Diversification
Chapter 8 Capital Asset Pricing Model and Arbitrage Pricing Theory
Chapter 9 Efficient Market Hypothesis: The Collective Wisdom
Chapter 10 Behavioural Finance: The Irrational Influences
Part 4 Fixed Income Securities
Chapter 11 Bond Prices and Yields: Figuring out the Assured Returns
Chapter 12 Bond Portfolio Management: The Passive and Active Stances Part 5 Equity Shares
Chapter 13 Equity Valuation: How to Find Your Bearings
Chapter 14 Macroeconomic and Industry Analysis
Chapter 15 Company Analysis: Establishing the Value Benchmark
Chapter 16 Technical Analysis: The Visual Clue Part 6 Derivatives
Chapter 17 Options: The Upside Without the Downside
Chapter 18 Futures: Where the Hedgers and the Speculators Meet Part 7 Other Investment Options
Chapter 19 Mutual Funds and Alternative Investment Funds
Chapter 20 Investment in Real Assets: The Tangible Thing
Chapter 21 International Investing: The Global Search Part 8 Portfolio Management
Chapter 22 Portfolio Management—Investment Policy and Strategy
Chapter 23 Portfolio Management—Implementation and Review
Chapter 24 Professional and Institutional Money Management
Chapter 25 Guidelines for Investment Decisions: What it all Comes to
Chapter 26 Strategies of the Great Masters: The Timeless Wisdom Appendix A Understanding Regression Appendix B Solutions to End-of-Chapter Problems and Minicases Select Bibliography Glossary Index
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