Security Analysis and Portfolio Management, 2/e

Security Analysis and Portfolio Management, 2/e

Authors : Punithavathy Pandian

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About the Author

Punithavathy Pandian :-
She has a masters degree in Economics, Commerce and Business Administration (Investment Management), as well as a doctoral degree in the field of Industrial Economics. She has been awarded a UGC-Emeritus Fellowship and is currently working as Emeritus Professor in the School of Business Studies, Madurai Kamaraj University, Madurai. She guided 12 Ph.D scholars to get their doctoral degrees in addition to 44 M.Phil scholars. She is well acknowledged for her contribution to teaching and research for more than 36 years. She has published more than 50 papers in national and international journals.

About the Book

In the current scenario, investing in the stock markets poses a significant challenge even for seasoned professionals. Not surprisingly, many students find the subject Security Analysis and Portfolio Management difficult. This book offers conceptual clarity and in-depth coverage with a student-friendly approach. Targeted at the postgraduate students of management and commerce, it is an attempt to demystify the difficult subject. The book is divided into three parts. Part I explains the Indian stock market; Part II exclusively deals with the different aspects of security analysis; Part III is devoted to portfolio analysis.


1. Introduction to Investment and Securities 2. Investment Alternatives 3. New Issue Market 4. Secondary Market 5. Stock Market Indices 6. Securities and Exchange Board of India (Ltd) 7. Risk 8. Bond Return and Valuation 9. Stock Return and Valuation 10. Fundamental Analysis: Economic and Industry Analysis 11. Fundamental Analysis: Company Analysis 12. Technical Analysis 13. Indicators and Oscillators 14. Efficient Market Theory 15. Options and Futures 16. Futures 17. Portfolio Construction 18. Portfolio Markowitz Model 19. Sharpe Index Model 20. CAPM and Arbitrage Pricing Theory 21. Portfolio Evaluation 22. Portfolio Revision 23. International Portfolio Investment

New in this Edition

  • Thoroughly revised and up-to-date
  • Inclusion of new cases and Excel spreadsheet applications
  • Chapter queries to kindle the interest of the learner
  • Bifurcation of Fundamental Analysis chapter into Economic and Industry Analyses, and Company Analysis.
  • New chapters on Oscillators and Indicators, Options and Futures, as well as International Portfolio Investment
  • More than 20 new sections