Investment Analysis and Portfolio Management

6th Edition
9354600077 · 9789354600074
OVERVIEWInvestment Analysis and Portfolio Management is an introductory book that seeks to capture the essence of modern developments in investments. It describes the characteristics of various investment alternatives available to investors along wit… Read More
MRP ₹1,025.00
Part 1 Introduction 
Chapter 1 Overview: A Broad Map of the Territory 
Chapter 2 Investment Alternatives: Choices Galore 
Chapter 3 Securities Market: The Battlefield Part 2 Basic Concepts and Methods 
Chapter 4 Risk and Return: Two Sides of the Investment Coin 
Chapter 5 The Time Value of Money: The Magic of Compounding 
Chapter 6 Financial Statement Analysis: The Information Maze Part 3 Modern Portfolio Theory 
Chapter 7 Portfolio Theory: The Benefits of Diversification 
Chapter 8 Capital Asset Pricing Model and Arbitrage Pricing Theory 
Chapter 9 Efficient Market Hypothesis: The Collective Wisdom 
Chapter 10 Behavioural Finance: The Irrational Influences


Part 4 Fixed Income Securities 
Chapter 11 Bond Prices and Yields: Figuring out the Assured Returns 
Chapter 12 Bond Portfolio Management: The Passive and Active Stances Part 5 Equity Shares 
Chapter 13 Equity Valuation: How to Find Your Bearings 
Chapter 14 Macroeconomic and Industry Analysis 
Chapter 15 Company Analysis: Establishing the Value Benchmark 
Chapter 16 Technical Analysis: The Visual Clue Part 6 Derivatives 
Chapter 17 Options: The Upside Without the Downside 
Chapter 18 Futures: Where the Hedgers and the Speculators Meet Part 7 Other Investment Options 
Chapter 19 Mutual Funds and Alternative Investment Funds 
Chapter 20 Investment in Real Assets: The Tangible Thing 
Chapter 21 International Investing: The Global Search Part 8 Portfolio Management 
Chapter 22 Portfolio Management—Investment Policy and Strategy 
Chapter 23 Portfolio Management—Implementation and Review 
Chapter 24 Professional and Institutional Money Management 
Chapter 25 Guidelines for Investment Decisions: What it all Comes to 
Chapter 26 Strategies of the Great Masters: The Timeless Wisdom Appendix A Understanding Regression Appendix B Solutions to End-of-Chapter Problems and Minicases Select Bibliography Glossary Index
OVERVIEW


Investment Analysis and Portfolio Management is an introductory book that seeks to capture the essence of modern developments in investments. It describes the characteristics of various investment alternatives available to investors along with the techniques used in their valuation and analysis. The book presents a framework for portfolio management with a set of guidelines for investors with varying inclinations. Primarily aimed for MBA students taking course in investments and security analysis, it will also be proved useful to industry practitioner




KEY FEATURES


• Fifteen new sections such as Alternative Investments, Technologies that can Transform Financial Markets, Financial Engineering, Family Office, REITS and InvITS, Alternative Investment Funds, etc. 
• Updated topics on CAPE Ratio, Bollinger Bands, Information Ratio Trailing Returns and Rolling Returns, Active Share, Behavioural Influences on Asset Allocation, Sortino Ratio, etc. 
• Explores functioning of securities market as well as the implications of modern research in the field of investments. 
• Revised pedagogy that includes exhibits, summary, questions, solved and unsolved problems, minicases, and chapter appendices _ Rich pool of student and instructor resources