Security analysis and portfolio management

By: Fischer, Donald EContributor(s): Jordan, Ronald J | Pradhan, A. KMaterial type: TextTextPublisher: Noida Pearson 2019Edition: 7th edDescription: 517pISBN: 9789353066284Subject(s): INVESTMENT ANALYSIS | PORTFOLIO MANAGEMENTDDC classification: 332.6 FIS Summary: This is a classical text about investing in securities. It is aimed at providing a comprehensive introduction to the areas of security analysis and portfolio management. The text emphasizes the “how-to" aspects of the subject by using detailed real-world examples throughout. An attempt has been made to make the text as nonmathematical as possible. Only simple algebra and some elementary statistics are used in the book. The present adaptation ensures that the Indian readers are easily able to relate to examples from the Indian securities market.
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332.6 FIS (Browse shelf) Available 2164

This is a classical text about investing in securities. It is aimed at providing a comprehensive introduction to the areas of security analysis and portfolio management. The text emphasizes the “how-to" aspects of the subject by using detailed real-world examples throughout. An attempt has been made to make the text as nonmathematical as possible. Only simple algebra and some elementary statistics are used in the book. The present adaptation ensures that the Indian readers are easily able to relate to examples from the Indian securities market.

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