Description
Table of contents
Biographical note
User Reviews
Description
Perhaps, the first undergraduate level textbook based on syllabus, this book is designed to address the requirements of undergraduate students of commerce and management and provides a crisp and clear text on Portfolio Management, theory and framework.
Salient Features
· Authoritative text on the subject.
· Covers problem-oriented chapters such as Time Value of Money and Risk and Return with numerous solved and self-practice problems.
· Succinct coverage of Portfolio Management, steps to Portfolio Analysis and Portfolio Theory.
· Covers Derivatives, Futures, Swaps and Options adequately.
· Has a separate chapter on Wealth Management.
Description
Perhaps, the first undergraduate level textbook based on syllabus, this book is designed to address the requirements of undergraduate students of commerce and management and provides a crisp and clear text on Portfolio Management, theory and framework.
Salient Features
· Authoritative text on the subject.
· Covers problem-oriented chapters such as Time Value of Money and Risk and Return with numerous solved and self-practice problems.
· Succinct coverage of Portfolio Management, steps to Portfolio Analysis and Portfolio Theory.
· Covers Derivatives, Futures, Swaps and Options adequately.
· Has a separate chapter on Wealth Management.
Dr. Gurusamy holds a doctorate in Financial Services. He is currently Professor and Head, Department of Commerce, University of Madras, Chennai. He has more than 30 years of teaching and research experience. His area of interest includes accounting and finance, banking and insurance. A prolific writer, he has published books on Financial Services and Systems, Financial Markets and Institutions, Banking Theory Law and Practice and Merchant Banking and Financial Services.