Yes, this book is meticulously crafted to cover the entire latest syllabus for Investment Planning and Management (NBBA 402) as prescribed by Panjab University, Chandigarh, under the New Education Policy (NEP).
Absolutely. Unit I provides comprehensive coverage of both approaches, including Economic, Industry, and Company Analysis for fundamental analysis, and theories, charts, and indicators for technical analysis.
The book covers key models including the Markowitz Model, Capital Asset Pricing Model (CAPM), Arbitrage Pricing Theory (APT), and Portfolio Performance Evaluation models (Sharpe, Treynor, Jensen).
While tailored for PU BBA students, the core concepts of investment, security analysis, and portfolio management make it a valuable introductory resource for any student of finance.
Yes, Unit II includes a section on the valuation of fixed-income securities, covering bond fundamentals, types of bonds, and bond valuation.
The chapters on risk-return analysis, portfolio models, and valuation involve conceptual explanations of calculations, which are essential for solving the numerical problems expected in exams.
Yes, the title and content explicitly state it is structured as per the NEP guidelines for Panjab University's BBA program.
The course is for 3+1 Credits (Theory + Tutorial). The book's depth and structure are designed to cover the 45 hours of lectures and 15 hours of tutorials effectively.
Yes, the book covers essential technical analysis tools, including Candlestick Charts, Line Charts, OHLC Charts, and indicators like the Relative Strength Index (RSI) and On Balance Volume (OBV).
Yes, Chapter 2 on Investment Avenues and the Practical Work section involve studying various options including stocks, bonds, mutual funds, real estate, and gold.
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Yes, this book is meticulously crafted to cover the entire latest syllabus for Investment Planning and Management (NBBA 402) as prescribed by Panjab University, Chandigarh, under the New Education Policy (NEP).
Absolutely. Unit I provides comprehensive coverage of both approaches, including Economic, Industry, and Company Analysis for fundamental analysis, and theories, charts, and indicators for technical analysis.
The book covers key models including the Markowitz Model, Capital Asset Pricing Model (CAPM), Arbitrage Pricing Theory (APT), and Portfolio Performance Evaluation models (Sharpe, Treynor, Jensen).
While tailored for PU BBA students, the core concepts of investment, security analysis, and portfolio management make it a valuable introductory resource for any student of finance.
Yes, Unit II includes a section on the valuation of fixed-income securities, covering bond fundamentals, types of bonds, and bond valuation.
The chapters on risk-return analysis, portfolio models, and valuation involve conceptual explanations of calculations, which are essential for solving the numerical problems expected in exams.
Yes, the title and content explicitly state it is structured as per the NEP guidelines for Panjab University's BBA program.
The course is for 3+1 Credits (Theory + Tutorial). The book's depth and structure are designed to cover the 45 hours of lectures and 15 hours of tutorials effectively.
Yes, the book covers essential technical analysis tools, including Candlestick Charts, Line Charts, OHLC Charts, and indicators like the Relative Strength Index (RSI) and On Balance Volume (OBV).
Yes, Chapter 2 on Investment Avenues and the Practical Work section involve studying various options including stocks, bonds, mutual funds, real estate, and gold.