Portfolio Management

Kevin, S

Portfolio Management - 2nd - New Delhi PHI Pub. 2006 - 224p.

1.Introduction to Portfolio Management.
2.Investment.
3.Risk.
4.Fundamental Analysis: Economy Analysis.
5.Industry and Company Analysis.
6.Share Valuation.
7.Bond Valuation.
8.Technical Analysis.
9.Efficient Market Theory.
10.Portfolio Analysis.
11.Portfolio Selection.
12.Capital Asset Pricing Model (CAPM).
13.Portfolio Revision.
14.Portfolio Evaluation.1.Introduction to Portfolio Management.
2.Investment.
3.Risk.
4.Fundamental Analysis: Economy Analysis.
5.Industry and Company Analysis.
6.Share Valuation.
7.Bond Valuation.
8.Technical Analysis.
9.Efficient Market Theory.
10.Portfolio Analysis.
11.Portfolio Selection.
12.Capital Asset Pricing Model (CAPM).
13.Portfolio Revision.
14.Portfolio Evaluation.

9788120329591


1.Introduction to Portfolio Management. 2.Investment. 3.Risk. 4.Fundamental Analysis: Economy Analysis. 5.Industry and Company Analysis. 6.Share Valuation. 7.Bond Valuation. 8.Technical Analysis. 9.Efficient Market Theory. 10.Portfolio Analysis. 11.Portfolio Selection. 12.Capital Asset Pricing Model (CAPM). 13.Portfolio Revision. 14.Portfolio Evaluation.

332.6 KEV-P
Web Counter

Powered by Koha