• To develop an understanding of practices of investment analysis and management in business context.
• To develop the students’ ability to use financial information in business analysis and manage return on investment.
• To understand various practices of capital market research theory and use of information in pricing financial instruments.
• To familiarize the students with the current models of research and evaluation in the Investment market.
Investment : An introduction
Concept of investment-investment objectives, characteristics of investments, investment avenues, Motives of investment, Types of investors, investment vs. speculation, investment v/s gambling, and gambling v/s speculation.
Pricing and Valuation of securities:
Valuation of Equity- one year holding period, multiple year holding period, constant growth model, multiple growth model, dividend discount models
Valuation of Bonds: Coupon Rate, Current Yield and Yield to Maturity
Introduction to portfolio management
Need for portfolio management and Portfolio Management Process & Analysis. Expected Return of a Portfolio, Risk of a Portfolio, Asset allocation process, types of asset allocation
IV Models for portfolio management
Markowitz model, Sharpe’s Single Index Portfolio Selection Method, Capital Asset Pricing Model, Arbitrage Pricing Theory
Performance evaluation
Fundamental Analysis- Economic analysis, Industry analysis, Company analysis and Technical analysis- Dow Theory, Support and Resistance Level.
• Kevin. S, Portfolio Management, PHI Learning Private Ltd, 2013
• Avadhani, V.A., Investment Management, Himalaya Publishing House, 2014
• Sharpe F William, Alexander J Gordon and Baily V Jeffery, Fundamentals of Investments, PHI Learning Private Ltd, 2017.
• Fisher E Donald and Jordon J Ronald, Security Analysis and Portfolio Management, Prentice Hall, 6th Edition, 2016.
• ChandraPrasanna, Investment Analysis and Portfolio Management, Tata McGraw Hill Education, 4th Edition, 2012.
• Singh Rohini, Security Analysis and Portfolio Management, Excel Books, 2016.
• Elton & Gruber, Modern Portfolio Theory and Investment Analysis, John Wiley, 2010.
• Hirschey Mark and Nofsinger John, Investments Analysis and Behavior, McGraw- Hill, 2008.
• ZviBodie, Alex Kane, Alan J Marcus, Pitabas Mohanty, Investments, Tata McGraw Hill Education, 9th Edition,2017.
• Gupta Sudhir, Security Analysis and Portfolio Management, Centrum Press,2011.