ABOUT THE BOOK

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    Accession Number

 294

    Title

 Portfolio management

    Author

 Barua, Samir/ Raghunathan, V/ Verma, Jayanth R

    Publisher

 Tata McGraw Hill Education Pvt Ltd

    ISBN

 978-0-07-462096-0

     Summary

In this book the authors cover approaches namely fundamental analysis, technical analysis and modern portfolio theory, and show how these can be used to evaluate securities and to design and manage portfolios. Since portfolios typically comprise both equities and debentures, authors have devoted considerable space, to bond valuation and bond portfolios also. Since no theory can be applied in isolation from the environmental context, authors have illustrated all concepts with examples from the Indian capital market. In addition, authors discuss the functioning of the Indian stock exchange and the tax laws relating to investing in securities.