Investment analysis and portfolio management / by Prasanna Chandra

By: Chandra, PrasannaMaterial type: TextTextPublication details: Delhi: McGraw Hill education, 2015cEdition: 4th edDescription: various p.: ill.; 24 cmISBN: 9781259005992 (pbk)Subject(s): Investment analysis | Portfolio management | InvestmentsDDC classification: 332.6
Contents:
Introduction Overview Investment Alternatives Securities Market Risk and Return Portfolio Theory Pricing Theory Efficient Market Hypothesis The Irrational Influences Bond Prices and Yields Bond Portfolio Management Equity Valuation Macroeconomic and Industry Analysis Company Analysis Technical Analysis Options Futures Mutual Funds Investment in Real Assets Portfolio Management Framework The Grand Design Guidelines for Investment Decisions Strategies of the Great Masters International Investing Appendix A: Tables Appendix B: Regression Analysis Appendix C: Tax Aspects of Investments
Summary: Suitable for junior-level equity researchers, investment counselors, students, and portfolio managers, this book provides them with an introduction to their trade. It demystifies the complex and global world of investment strategies - from basic concepts and modeling methods to modern portfolio theory, fixed income, equity shares, and derivatives
Tags from this library: No tags from this library for this title. Log in to add tags.
Star ratings
    Average rating: 0.0 (0 votes)
Holdings
Item type Current library Call number Copy number Status Date due Barcode Item holds
Books Books Namal Library
Economics(hall 2)
332.6 CHA-I 2015 11031 (Browse shelf (Opens below)) 1 Available 0011031
Total holds: 0
Browsing Namal Library shelves, Shelving location: Economics(hall 2) Close shelf browser (Hides shelf browser)
No cover image available
332.10973 GOE-F 2018 11197 Financial markets, institutions and services / 332.45 DUN-F 2010 11208 Foreign Exchange Markets / 332.45 WAT-F 1990 12426 Finance of international trade / 332.6 CHA-I 2015 11031 Investment analysis and portfolio management / 332.6 HAU-M 2018 11264 Modern investment theory / 332.6 HAU-M 2018 11514 Modern investment theory / 332.6 TEA-F 2013 11206 Financial trading and investing /

Introduction Overview Investment Alternatives Securities Market Risk and Return Portfolio Theory Pricing Theory Efficient Market Hypothesis The Irrational Influences Bond Prices and Yields Bond Portfolio Management Equity Valuation Macroeconomic and Industry Analysis Company Analysis Technical Analysis Options Futures Mutual Funds Investment in Real Assets Portfolio Management Framework The Grand Design Guidelines for Investment Decisions Strategies of the Great Masters International Investing Appendix A: Tables Appendix B: Regression Analysis Appendix C: Tax Aspects of Investments

Suitable for junior-level equity researchers, investment counselors, students, and portfolio managers, this book provides them with an introduction to their trade. It demystifies the complex and global world of investment strategies - from basic concepts and modeling methods to modern portfolio theory, fixed income, equity shares, and derivatives

There are no comments on this title.

to post a comment.