000 | 00928nam a22001457a 4500 | ||
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999 |
_c4137 _d4137 |
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008 | 171207b xxu||||| |||| 00| 0 eng d | ||
020 | _a9789385022623 | ||
082 |
_223 _a332.60954 _bSIN |
||
100 | _aSingh, Sukhvir. | ||
245 |
_aSecurity analysis and Portfolio Management : _cSukhvir Singh. |
||
260 |
_aNew Delhi: _bA.K. Publication, _c2016. |
||
300 | _a362 p, ; | ||
505 | _a1 Introduction; 2 Risk Diversification and portfolio managements; 3 Objectives and rationale of the research ; 4 Ranking of nifty Stocks in order of Risk - return ; 5 Identification of Efficiency Securities for optimal Portfolio on the basic of Sharpe treynor Models; 6 Ranking of Securities Portfolio using sharp and Treynor's model's ; 7 The Efficiency of Sharpe Single Index model of Construction of Optional portfolio ; 8 Risk Diversification and optimal portfolio size; 9 Summary Conclusion and Suggestion ; | ||
942 |
_2ddc _cBK |