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  • Security Analysis and Portfolio Management: A Primer

    Security Analysis and Portfolio Management by Singh, Shveta; Yadav, Surendra S.;

    A Primer

    Series: Classroom Companion: Business;

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      • Publisher's listprice EUR 106.99
      • The price is estimated because at the time of ordering we do not know what conversion rates will apply to HUF / product currency when the book arrives. In case HUF is weaker, the price increases slightly, in case HUF is stronger, the price goes lower slightly.

        44 374 Ft (42 261 Ft + 5% VAT)
      • Discount 20% (cc. 8 875 Ft off)
      • Discounted price 35 499 Ft (33 809 Ft + 5% VAT)

    44 374 Ft

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    Availability

    printed on demand

    Why don't you give exact delivery time?

    Delivery time is estimated on our previous experiences. We give estimations only, because we order from outside Hungary, and the delivery time mainly depends on how quickly the publisher supplies the book. Faster or slower deliveries both happen, but we do our best to supply as quickly as possible.

    Product details:

    • Edition number 1st ed. 2021
    • Publisher Springer Nature Singapore
    • Date of Publication 7 November 2021
    • Number of Volumes 1 pieces, Book

    • ISBN 9789811625190
    • Binding Hardback
    • No. of pages377 pages
    • Size 235x155 mm
    • Weight 764 g
    • Language English
    • Illustrations XXII, 377 p. 69 illus., 51 illus. in color. Illustrations, black & white
    • 210

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    Long description:

    This book is a simple and concise text on the subject of security analysis and portfolio management. It is targeted towards those who do not have prior background in finance, and hence the text veers away from rather complicated formulations and discussions. The course ‘Security Analysis and Portfolio Management’ is usually taught as an elective for students specialising in financial management, and the authors have an experience of teaching this course for more than two decades. The book contains real empirical evidence and examples in terms of returns, risk and price multiples from the Indian equity markets (over the past two decades) that are a result of the analysis undertaken by the authors themselves. This empirical evidence and analysis help the reader in understanding basic concepts through real data of the Indian stock market. To drive home concepts, each chapter has many illustrations and case-lets citing real-life examples and sections called ‘points to ponder’ to encourageindependent thinking and critical examination. For practice, each chapter has many numericals, questions, and assignments

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    Table of Contents:

    Introduction to Investments.- Behavioural Finance.- Concept of Risk and Return.- Fundamental Analysis.

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