ISBN- 978-93-90972-37-1
AUTHORS- Dr. Sudesh Kumar, Dr. Ravi Sidhu
Syllabus
BCOP 611-18
Security Analysis and Portfolio Management
UNIT – I
Investment: Meaning, Nature, Objectives and Process. Difference Between Investment and Speculation, Investment and Gambling. Various Investment Avenues/ Alternatives.
Investment Philosophy, Value Investing and Growth Investing, Investment Strategy, Individual and Institutional Investors.
UNIT – II
Security Analysis: Meaning, Concept of Risk, Risk Management; Analysis of Risk and Return. Relationship between Risk and Return
Types and Measurement of Risk, Risk and Return Trade Off.
UNIT – III
Investment Analysis: Fundamental Analysis– Economic, Industry and Company Analysis. Technical Analysis- Charting Techniques and Indicators. Fundamental v/s Technical Analysis. Efficient Market Theory, Random Walk Theory
UNIT – IV
Portfolio Management: Concept, Portfolio Management Models- Capital Asset Pricing Model, Arbitrage Pricing Theory, Marvkowitz Model, Capital Market Line, Security Market Line, Portfolio Performance Evaluation- Sharpe Model, Jensen and Treynor Model Portfolio Revision: Techniques of Portfolio Revision, Formula Plans, Constant Rupee Value Plan, Constant Ratio Plan, Variable Ratio Plan, Rupee Averaging Technique. Global Investing – Benefits and Options for Global Investment.
Specific References
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ISBN- 978-93-90972-37-1
AUTHORS- Dr. Sudesh Kumar, Dr. Ravi Sidhu
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