ISBN-13: 9786205525074 / Angielski / Miękka / 68 str.
This comprehensive book on "Security Analysis and Portfolio Management in the Indian Capital Market" covers various essential aspects of investing and managing portfolios in India. It begins with an overview of the Indian capital market, its evolution, structure, and regulatory framework, providing a foundation for understanding the subsequent chapters.The book explores different financial instruments available in the Indian market, such as equities, bonds, mutual funds, and derivatives, along with their characteristics and risks. It also delves into fundamental and technical analysis techniques used for security analysis, evaluating financial statements, ratio analysis, and assessing market trends and sentiments.The principles of portfolio management, including asset allocation, diversification, risk management, and long-term planning, are discussed in detail. The book further explores various investment strategies like growth investing, value investing, momentum investing, and contrarian investing, providing insights into their application in the Indian context.