The present book on "Security Analysis and Investment Management" has been written for M. Com. and MBA students for their enhancement in knowledge of securities.
About The Author:About O.P. Agarwal
Shri. O.P. Agarwal passed his M.Com. in 1964 from Vikram University, Ujjain (MP), and has been a distinguished scholar in 1971 when he passed his LL.B. (Hons.) examination from the Indore University, (MP), National and International Diplomas in Banking (CAIIB) and CAIB (London) were obtained in 1969 and 1974 respectively. With such a brilliant background, in July 1971, he joined the Bank of Maharashtra, as a junior officer and remained with them till retirement as chief manager, in January 2001. He served in various capacities in branches/regional offices and head office of the Bank of Maharashtra, during his 30 years of practical experience in banking and finance. During this period, he also served for about seven years as faculty in-charge, Bank of Maharashtra Staff Training Centre, New Delhi and helped the staff members in sharpening their skill for excellence in performance. In 1991, he wrote books for internal promotion of officers from clerical to officers and from scale I/II to scale III grades for better their future. The author has written 30 books on under mentioned courses for the exclusive use of students and professionals:
Shri. Agarwal is a visiting faculty for Bank Staff Training Centers and other Training Institutes.
Table Of Contents:Book Content of Security Analysis and Investment Management
Chapter I : Investment
Chapter II : Risk and Return
Chapter III : Efficient Market Theory and Options and Futures Markets
Chapter IV : Theories of Fixed and Variable Income Securities
Chapter V : Risk Return and Analysis in the Stock Market
Chapter VI : Investment and Security Valuations
Chapter VII : Markets and Brokers
Chapter VIII : Market Indices and Returns
Chapter IX : Objectives of Securities Analysis
Chapter X : Recent Development in the Indian Stock Market
Chapter XI : Financial Information and Sources of Risks
Chapter XII : Portfolio Theories and Management
Chapter XIII : Determination of Stock Market Price as per Time Value of Money
|Book:||Financial Management >> Security Analysis And Investment Management|
|Number of Pages:||311|
Please Note -
* We sell only NEW book and do NOT sell old or used books.
* The book images and summary displayed may be of a different edition or binding of the same title.
* Book reviews are not added by BookAdda.
* Price can change due to reprinting, price change by publisher / distributor.
BookAdda (www.bookadda.com) is a premier online book store in selling books online across India at the most competitive prices. BookAdda sells fiction, business, non fiction, literature, AIEEE, medical, engineering, computer book, etc. The books are delivered across India FREE of cost.