INVESTMENT ANALYSIS AND PORTFOLIO MANAGEMENT
Concepts/short notes
1. Â Tax Saving Investments.
2. Â Present Value of Annuity.
3. Â Primary market
4. Â Secondary Market
5. Â Technical Analysis
6. Â Dividend Discount Model.
7.   Price Earnings Ratio Model
8. Â Initial Public Offer (IPO)
9. Â Non marketable Financial Assets
10. Time Value of Money
11. Stock Market
12. Yield to Maturity (YTM).
13. Portfolio
14. Portfolio management
15. Mutual fund
16. Net Assets Value (NAV)
17. Measures    of   Returns   (Sharpe‟s    , Treynor‟s and Jenson‟s measure)
18. Book Building
19. Floor Price and cut-off price
20. Certificate of Deposit
21. Commercial Papers
22. Bill Discounting
23. SEBI
24. Debentures
25. Types of Debenture
26. Investment Alternatives
27. What are the alternatives available for the investment?
28. Concept : Net Asset Value (NAV)
29. Debt market
30. DEBT INSTRUMENTS
31. MONEY MARKET
32. MONEY MARKET INSTRUMENTS
33. ROLE of SEBI
34. Define Risk and what are the types of
Risk?
35. Measurement of risk
36. Junk Bond.
37. Speculation.
38. COMMERCIAL PAPER (CP)
39. Blue Chip Shares
40. Public Issue
41. Bull  and Bear
42. DEMAT trading
43. Net Present Value
44. Types of Return
45. Types of ratios
46. Key Determinants of Share Value
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