Security Analysis & Portfolio Management
Publication details: Mumbai Vikas P. House Description: XVII, 464ISBN: 8125910840DDC classification: 332.6 PAN-SEC Summary: INTRODUCTION TO INVESTMENT AND SECURITIES, INVESTMENT PLANNING AND ALTERNATIVES, NEW ISSUE MARKET, SECONDARY MARKET, STOCK MARKET INDICES, Chapter Query, Chapter Query, BOND RETURN AND VALUATION, EFFICIENT MARKET THEORY, OPTIONS, FUTURES, PORTFOLIO CONSTRUCTION, PORTFOLIO MARKOWITZ MODEL MEAN VARIANCE ANALYSIS, THE SHARPE INDEX MODEL, CAPITAL ASSET PRICING THEORY AND ARBITRAGE PRICING THEORY, PORTFOLIO EVALUATION, STOCK RETURN AND VALUATION, ECONOMIC AND INDUSTRY ANALYSIS, COMPANY ANALYSIS, TECHNICAL ANALYSIS, INDICATORS AND OSCILLATORSItem type | Home library | Call number | Materials specified | Copy number | Status | Date due | Barcode |
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Books | S. Vs Sridora Caculo College of Commerce & Management Studies, khorlim, Mapusa | 332.6 PAN-SEC (Browse shelf(Opens below)) | 1 | Available | SVS-RC30 |
INTRODUCTION TO INVESTMENT AND SECURITIES, INVESTMENT PLANNING AND ALTERNATIVES, NEW ISSUE MARKET, SECONDARY MARKET, STOCK MARKET INDICES, Chapter Query, Chapter Query, BOND RETURN AND VALUATION, EFFICIENT MARKET THEORY, OPTIONS, FUTURES, PORTFOLIO CONSTRUCTION, PORTFOLIO MARKOWITZ MODEL MEAN VARIANCE ANALYSIS, THE SHARPE INDEX MODEL, CAPITAL ASSET PRICING THEORY AND ARBITRAGE PRICING THEORY, PORTFOLIO EVALUATION, STOCK RETURN AND VALUATION, ECONOMIC AND INDUSTRY ANALYSIS, COMPANY ANALYSIS, TECHNICAL ANALYSIS, INDICATORS AND OSCILLATORS
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