Authers : Mrs. Priyanka Singh
ISBN : 9789361803376
Course Content: Unit No. Content No. of Hours % of Weightage
1.
Introduction to Investment:
Introduction
Investment vs. Speculation, Investment vs. Gambling
Investment Objectives, Investment Attributes
Investment Process
Security Analysis vs. Portfolio Management
Portfolio Management Process
Meaning and Types of Returns
Holding Period Return (Theory and Numerical).
Expected Return–Annualized return – measurement of return.
Risk – Types of Risk – Measurement of Risk (Theory and numerical).
10
17
2.
Security analysis:
Fundamental Analysis:
Economic, Industry and Company Analysis, Forecasting earnings, Efficient Market Hypothesis, Different Forms of EMH and their Empirical Tests
Technical Analysis: Charting Tools, Market Indicators, Dow Theory, Elliot Wave Theory, Random Walk Theory
Introduction to Behavioral Finance
Introduction to Market Anomalies (Calendar or seasonal anomalies, Cross-section anomalies, Event-based anomalies, Momentum and reversal)
12
18
3.
Selection / Construction of Securities by applying theories:
Markowitz Model - Efficient Frontier
Constructing an Optimal portfolio using Sharpe’s Single Index Model (Theory and Numerical).
Capital Market Theory: CML, SML, Capital Asset Pricing Model, (Theory and Numerical).
Arbitrage Pricing Theory (Only Theory)
13
17
4.
Portfolio Management & Measurement:
Portfolio Execution
Portfolio Revision and Performance Evaluation (Theory and Numerical).
Bonds & Valuation:
Bond Prices & Yields (Theory and Numerical).
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Authers : Mrs. Priyanka Singh
ISBN : 9789361803376
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