Investment Analysis and Portfolio Management (Mumbai Univ)

ISBN Number : 978-93-5262-217-7

Student Price : Rs.98

Student Dollar Price : 4$

Book Edition : First

Year of Publication : 2016

No. Of Pages : 120

Book Weight :0

About The Book

It is a matter of great pleasure to present the first edition of this book on Investment Analysis and Portfolio Management to the students and teachers of Third Year Bachelor of Management Studies course started by University of Mumbai. This book is strictly designed as per new syllabus from the academic year 2016-17 guidelines. The book presents the subject matter in a simple and convincing language.

In keeping with the aims of the book, we have attempted to present the text in a lucid and simple style; the treatment is comprehensive and by and large non-mathematical. Another notable feature of this volume is that the discussions of the concepts and theories are invariably followed by exhaustive illustrative problems. To test the understanding of the readers as also to enable them to have sufficient practice, a large number of exercises have also been given at the end of the chapters.

The syllabus contains a list of the topics covered in each chapter which will avoid the controversies regarding the exact scope of the syllabus. The text follows the term wise, chapter-topic pattern as prescribed in the syllabus. We have preferred to give the text of the section and rules as it is and thereafter added the comments with the intention of explaining the subject to the students in a simplified language. While making an attempt to explain in a simplified language, any mistake of interpretation might have crept in.

This book is a unique presentation of subject matter in an orderly manner. This is a student-friendly book and tutor at home.

 

Contents -

1. Introduction to Investment
2. Investment
3. Capital Market in India
4. Risk and Return Relationship
5. Portfolio Management
6. Fundamental Analysis
7. Technical Analysis
8. Efficient Market Hypothesis
9. Capital Asset Pricing Model
10. Portfolio Performance Measurement
Case Studies

About The Author

Prof. Rajiv S. Mishra -

M.Com., MBA, M.Phil., UGC-NET, Ph.D. (Pursuing),

Recognised UG Professor by University of Mumbai.

Assistant Professor in BBI & Coordinator, M.Com.,

N.E.S. Ratnam College of Arts, Science and Commerce, Bhandup (W), Mumbai - 400 078.

Visiting Faculty at N.G. Acharya, D.K. Marathe, V.K. Menon College, Pragati College,Chandrabham Sharma College, Dnyansadhana College and Vikas Collegefor M.Com., BBI, BMS, BFM and BAF.

Lion Dr. N. K. Jha did his M.Com. from Mumbai University in 2002 and ICWAI from Calcutta, PGDBM from ICFAI University Hyderabad. Thereafter, he obtained Ph.D. degree from SKM University, Dumka, Jharkhand specialising in Banking, Accounting and Finance. Dr. Jha has six books in his credit and has published 15 research papers on the subject in reputed national journals. He also presented 21 research papers in national and international conferences among these, one paper have been accepted in UKSS international conferences in St. Anne`s College, Oxford University, UK. His two research papers have been selected for best research paper award in National Conference, Mumbai. Presently, he is working as a Asst. Professor and Coordinator for BAF Thakur College of Science and Commerce, Mumbai University, visiting faculty for MBA, MS[F], CPA and CFA in ICFAI University, MBA and PGDBM in Sikkim Manipal University and Ph.D. Guide [Research Supervisor] and Professor for Ph.D. students in JJT University.

Dr. Shraddha Mayuresh Bhome -

M.Com., M.Phil. (Gold Medalist),

Professional MBA, Ph.D. in Commerce,

Pursuing D.Litt. in Commerce.

Assistant Professor and Coordinator (Accounting and Finance),

Satish Pradhan Dnyansadhana College,Thane.

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