000 02110nam a22002417a 4500
999 _c144
_d144
005 20190824153610.0
008 190824b ||||| |||| 00| 0 eng d
020 _a9789353066284
082 _a332.6
_bFIS
100 _aFischer, Donald E.
_9462
245 _aSecurity analysis portfolio management
260 _bPearson India Education Services Pvt. Ltd.
_aNew Delhi
_c2019
300 _axvi, 517 p.
365 _aINR
_b729.00
504 _aTable of Content 1) Introduction to Securities 2) Markets for Securities 3) Risk and Return 4) Portfolio Analysis 5) Index Models 6) Capital Market Theory 7 Economic Analysis 8) Industry Analysis 9) Company Analysis: Measuring Earnings 10) Company Analysis: Forecasting Earnings 11) Company Analysis: Applied Valuation 12) Bond Analysis: Return and Systematic Risk  13) Bond Analysis: Unsystematic Risk   14) Bond Management Strategies 15) Options 16) Rights, Warrants, and Convertibles 17) Futures 18) Technical Analysis 19) Efficient-market Theory 20) Behavioral Finance 21) Managed Portfolios and Performance measurements
520 _aAbout the Title:Security Analysis and Portfolio Management, 6e is a classical text about investing in securities. It is aimed at providing a comprehensive introduction to the areas of security analysis and portfolio management. The text emphasizes the &ldquohow-to" aspects of the subject by using detailed real-world examples throughout. An attempt has been made to make the text as nonmathematical as possible. Only simple algebra and some elementary statistics are used in the book. The present adaptation ensures that the Indian readers are easily able to relate to examples from the Indian securities market. In the process, some of the chapters have been rearranged and enhanced to bring the discussion in line with contemporary presentation of security risks and returns.
650 _aPortfolio management
_9193
650 _aDerivative securities
_9463
650 _aInvestment analysis
_9194
700 _aFinnerty, Joseph
_9464
700 _aLee, Cheng F.
_9465
942 _2ddc
_cBK