Security analysis and portfolio management

By: Bhatt,Suyash NMaterial type: TextTextLanguage: Eng Publication details: New delhi; Biztantra: 2011Description: 307p. PAPER BACK 23cmISBN: 9788177224870DDC classification: 658.47
Contents:
risk management, fundamental analysis investment risk and return capital asset pricing model Modern portfolio theory Technical theory valuation of share and business efficient market hypothesis Bond market and valuation Derivatives and option theory Mutual fund commodity market Value at risk portfolio management portfolio performance measurement behavioral finance case studies
Summary: portfolio management
List(s) this item appears in: Management
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 Home library Collection Call number Copy number Status Notes Date due Barcode
Books Books ADBU Kharguli Campus Library
Management
ADBU Kharguli Campus Library
Management
Non-fiction 658.47 BHA (Browse shelf(Opens below)) 1 Available Place in Fianace stack. K3700
Books Books ADBU Kharguli Campus Library
Management
ADBU Kharguli Campus Library
Management
Non-fiction 658.47 BHA (Browse shelf(Opens below)) 2 Available Place in Fianace stack. K3701
Books Books ADBU Kharguli Campus Library
Management
ADBU Kharguli Campus Library
Management
Non-fiction 658.47 BHA (Browse shelf(Opens below)) 3 Available Place in Fianace stack. K3702
Books Books ADBU Kharguli Campus Library
Management
ADBU Kharguli Campus Library
Management
Non-fiction 658.47 BHA (Browse shelf(Opens below)) 4 Available Place in Fianace stack. K3703
Books Books ADBU Kharguli Campus Library
Management
ADBU Kharguli Campus Library
Management
Non-fiction 658.47 BHA (Browse shelf(Opens below)) 5 Available Place in Fianace stack. K3704
Books Books ADBU Kharguli Campus Library
Management
ADBU Kharguli Campus Library
Management
Non-fiction 658.47 BHA (Browse shelf(Opens below)) 6 Available Place in finance stack. K4159

Mathematics

risk management,
fundamental analysis
investment risk and return
capital asset pricing model
Modern portfolio theory
Technical theory
valuation of share and business
efficient market hypothesis
Bond market and valuation
Derivatives and option theory
Mutual fund
commodity market
Value at risk
portfolio management
portfolio performance measurement
behavioral finance
case studies

portfolio management

There are no comments on this title.

to post a comment.

Implemented and Maintained by Central Library, Assam Don Bosco University
For any Suggestions/Query Contact to library or E-mail: [email protected]. Phone No:91+8638042220
Website/OPAC best viewed in Mozilla Browser in 1366X768 Resolution.
HTML Counter
Visitors

Powered by Koha