Introduction to Investment Management
Title | Introduction to Investment Management PDF eBook |
Author | C. Ronald Sprecher |
Publisher | |
Pages | 508 |
Release | 1975 |
Genre | Business & Economics |
ISBN |
FUNDAMENTALS OF MUTUAL FUNDS
Title | FUNDAMENTALS OF MUTUAL FUNDS PDF eBook |
Author | Mr. Hashim Khan |
Publisher | Authors Click Publishing |
Pages | 371 |
Release | 2024-07-25 |
Genre | Business & Economics |
ISBN | 811936824X |
"Fundamentals of Mutual Funds" offers a thorough exploration of the principles, operations, and strategies that define the mutual fund industry, with a focused examination of the Indian context. This book is an essential resource for students, finance professionals, individual investors, and educators alike, providing both foundational knowledge and practical insights into the complexity of mutual fund management. Exploring the evolution and current state of mutual funds, this book covers key topics such as investment objectives, fund types, regulatory frameworks, and performance evaluation. It explains complex concepts with clarity, supported by real-world examples and case studies that illustrate best practices and common pitfalls in mutual fund investing.
JAIIB Paper-1 Study Notes: Indian Economy and Indian Financial System
Title | JAIIB Paper-1 Study Notes: Indian Economy and Indian Financial System PDF eBook |
Author | |
Publisher | EduGorilla Community Pvt. Ltd. |
Pages | 400 |
Release | |
Genre | Education |
ISBN | 9358802758 |
108 Questions & Answers on Mutual Funds & SIP
Title | 108 Questions & Answers on Mutual Funds & SIP PDF eBook |
Author | Yadnya Investments |
Publisher | Notion Press |
Pages | 132 |
Release | 2017-08-18 |
Genre | Business & Economics |
ISBN | 1947697862 |
Have you ever thought of letting your money work for you by being a part of the Indian growth story but the complicated financial jargon, perplexing terms and conditions, dilemma associated with risky investments and too many mutual fund options stopped you! This book provides answers to all such FAQs that an Indian Mutual Funds and SIP investor has. This book will help you understand the various types of mutual funds, their comparison with other assets, ways to invest in mutual funds and identify the type of funds that fit your profile the best. The focus of the book is on simplifying myriad concepts of mutual funds and demystifying myths around these investments. The author has approached this book in a question-answer format with lots of recent examples.
Wiley's Level II CFA Program 11th Hour Final Review Study Guide 2023
Title | Wiley's Level II CFA Program 11th Hour Final Review Study Guide 2023 PDF eBook |
Author | Wiley |
Publisher | John Wiley & Sons |
Pages | 308 |
Release | 2023-03-21 |
Genre | Business & Economics |
ISBN | 1119930677 |
Banish test anxiety before taking Level II of the CFA certification exam Wiley's Level II CFA Program 11th Hour Final Review Study Guide 2023 is a concise summary of the concepts covered on Level II of the CFA certification exams. Rather than act as a primary study tool, the book offers an effective and efficient way to review the subjects covered by the exam. The book covers: · Ethical and professional standards · Financial analysis tools, including quantitative methods, economics, and financial reporting and analysis · Portfolio management and analysis, including corporate finance · Assets, including equity investments, derivatives, fixed income, and alternative investments Perfect for any prospective CFA Level II exam taker seeking to improve their confidence with the test’s subject matter, Wiley's Level II CFA Program 11th Hour Final Review Study Guide 2023 is a must-have resource for improving your retention and understanding of core concepts licensed CFAs use every day.
Asset Pricing
Title | Asset Pricing PDF eBook |
Author | John H. Cochrane |
Publisher | Princeton University Press |
Pages | 552 |
Release | 2009-04-11 |
Genre | Business & Economics |
ISBN | 1400829135 |
Winner of the prestigious Paul A. Samuelson Award for scholarly writing on lifelong financial security, John Cochrane's Asset Pricing now appears in a revised edition that unifies and brings the science of asset pricing up to date for advanced students and professionals. Cochrane traces the pricing of all assets back to a single idea—price equals expected discounted payoff—that captures the macro-economic risks underlying each security's value. By using a single, stochastic discount factor rather than a separate set of tricks for each asset class, Cochrane builds a unified account of modern asset pricing. He presents applications to stocks, bonds, and options. Each model—consumption based, CAPM, multifactor, term structure, and option pricing—is derived as a different specification of the discounted factor. The discount factor framework also leads to a state-space geometry for mean-variance frontiers and asset pricing models. It puts payoffs in different states of nature on the axes rather than mean and variance of return, leading to a new and conveniently linear geometrical representation of asset pricing ideas. Cochrane approaches empirical work with the Generalized Method of Moments, which studies sample average prices and discounted payoffs to determine whether price does equal expected discounted payoff. He translates between the discount factor, GMM, and state-space language and the beta, mean-variance, and regression language common in empirical work and earlier theory. The book also includes a review of recent empirical work on return predictability, value and other puzzles in the cross section, and equity premium puzzles and their resolution. Written to be a summary for academics and professionals as well as a textbook, this book condenses and advances recent scholarship in financial economics.
Investment Analysis and Portfolio Management
Title | Investment Analysis and Portfolio Management PDF eBook |
Author | Frank K. Reilly |
Publisher | |
Pages | 0 |
Release | 1997 |
Genre | Analyse financière |
ISBN | 9780030186837 |
Penned by a widely respected author team, this investments text takes an empirical approach to explaining current, real-world practice. Providing the most comprehensive coverage available, the text emphasizes investment alternatives and teaches students how to analyze these choices and manage their portfolio. Like the editions before it, the sixth edition includes excellent coverage of portfolio theory, capital market theory, security analysis, and international investments.