Investment Management (Security Analysis and Portfolio Management), 19th Ed.S. Chand Publishing, 2008 - 1144 halaman SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT. This 5th Edition , is thoroughly revised and updated. It describes techniques, vehicles, and strategies of the funds of an individual investor(s).For the students of Management, Commerce, Professional Course of CA, CS, ICWA, Professional of Financial Institutions and Policy Makers. |
Isi
| 3 | |
| 21 | |
| 46 | |
| 59 | |
| 80 | |
INVESTMENT COMPANIES 102134 | 102 |
MARKET INDEXES 135141 | 135 |
SECURITY CREDIT RATINGS 142174 | 142 |
UTILITY THEORY AND 596608 | 596 |
PORTFOLIO SELECTION MODEL 609637 | 609 |
THE SINGLE INDEX MODEL 638673 | 638 |
CAPITAL ASSET PRICING MODEL 674744 | 674 |
FACTOR MODELS AND ARBITRAGE PRICING THEORY 745766 | 745 |
PORTFOLIO INVESTMENT PROCESS 767781 | 768 |
BOND PORTFOLIO MANAGEMENT STRATEGIES 782803 | 782 |
INVESTMENT TIMIMNG AND PORTFOLIO 804830 | 804 |
CAPITAL MARKET REFORMS 175216 | 175 |
BOND VALUATION AND ANALYSIS 219256 | 219 |
PREFERENCE SHARE VALUATION AND ANALYSIS 257265 | 257 |
EQUITY SHARES 266282 | 266 |
DIVIDEND POLICIES AND DECISIONS 283302 | 283 |
EQUITY VALUATION AND ANALYSIS 303348 | 303 |
GOVERNMENT SECURITIES 349384 | 349 |
NONSECURITY FORMS OF INVESTMENT 385411 | 385 |
REAL ESTATE INVESTMENT 412432 | 412 |
MONEY MARKET 433466 | 433 |
SECURITY ANALYSIS | 469 |
TECHNICAL ANALYSIS 515538 | 515 |
Wave Principle Kondratev Wave Theory Chaos Theory Neutral | 530 |
EFFICIENT MARKET THEORY 539562 | 539 |
PART IV | 563 |
management both in theory and practice There is an extensive coverage of stock price | 565 |
PART VI | 590 |
FINANCIAL DERIVATIVES | 833 |
OPTIONS 855900 | 855 |
FUTURES 901934 | 901 |
models index options portfolio insurance etc Futures and economic theory to explain | 907 |
SWAPS 935947 | 935 |
CONVERTIBLE SECURITIES 948980 | 948 |
WARRANTS 981989 | 981 |
HEDGING 9901010 | 990 |
FOREIGN PORTFOLIO INVESTMENT 10131027 | 1013 |
financial markets are growing global and global finance is becoming a reality Chapter 40 | 1028 |
ISSUES POSED BY PORTFOLIO INVESTMENT 10431053 | 1043 |
EMERGING 10541061 | 1054 |
SWITCHING POLICIES IN 10621078 | 1062 |
| 1079 | |
| 1085 | |
K BHALLA | |
Edisi yang lain - Lihat semua
Investment Management (Security Analysis and Portfolio Management), 19th Ed. V.K.Bhalla Pratinjau terbatas - 2008 |
Istilah dan frasa umum
amount analysis assets Assume average basis beta bond borrowing broker Calculate call option capital market CAPM cash flow cent changes contract corporate correlation cost coupon credit rating CRISIL crore debentures default derivatives discount diversified dividend earnings economic efficient equity shares estimate excess return expected return factors firm future futures contracts government securities growth rate income increase India indifference curves industry institutions instruments interest rates investment investor issue issuer liquidity listed margin market portfolio market price market value maturity measure money market mutual funds P/E ratio payment percent performance position preference shares present value profit purchase rate of return ratio repo Reserve Bank risk-free rate S&P CNX Nifty scrips SEBI sector securities market sell settlement shareholders standard deviation stock exchanges stock market stock price strategy term trading transactions variance volatility yield curve
