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Security Analysis and Portfolio Management


1.      Introduction to Investemet Management
2.      Markets for Investement
3.      Risk and Return
4.      Risk and Return continue.
5.      Organization and Function of Equity and Debt Markets
6.      Mutual Funds
7.      Market Efficiency  concepts and forms of efficiency
8.      Testing Market Efficiency
9.      Financial Statement analysis
10.  Financial Statement analysis  continue
11.  Valuation of Equity Shares I
12.  Valutation of Equity Shares II
13.  Economic Analysis I
14.  Economics Analysis II
15.  Industry Analysis I
16.  Industry Analysis II
17.  Company Analysis I
18.  Company Analysis II
19.  Technical Analysis I
20.  Technical Analysis II
21.  Introduction to Portfolio Management
22.  Introduction to Portfolio Management continue
23.  Capital Market theory I
24.  Capital Maret Theory II
25.  Arbitrage Pricing Thory
26.  Multufactor Pricing Model
27.  Markowitz Optional Portfolio Selection Model
28.  Other Optional portfolio Selection Model
29.  Equity Portfolio Management Strategies I
30.  Equity Portfolio Management strategies II
31.  Introduction to Bond Analysis
32.  Bond Pricing and Yield
33.  Interest Rate Determination
34.  Bond Price Volatility
35.  Bond Portfolio Management strategies I
36.  Bond Protfolio Management strategies II
37.  Derivatives I
38.  Derivatives II
39.  Portfolio Performance Evaluation I

40.  Portfolio Performance Evaluation II

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