This course will cover following topics in Investment analysis and Portfolio Management course
1. OBJECTIVES OF INVESTMENT DECISIONS
Introduction
Types of investors (individuals and Institutions)
Constraints , Liquidity , investment horizons and Taxation
2. FINANCIAL MARKETS
Primary and Secondary Markets, Trading in Secondary Markets
The Money Market (T-Bills, commercial Paper and cd)
he Bond Market (Treasury Notes (T-Notes) and T-Bonds, state and Municipal Government bonds, Corporate Bonds and International bonds)
3. FIXED INCOME SECURITIES
The Time Value of Money, Simple and Compound Interest Rates, Bond Pricing Fundamentals ,bond Yields and Interest Rates
4. CAPITAL MARKET EFFICIENCY
Market Efficiency (Weak-form Market Efficiency, Semi-strong Market Efficiency & Strong Market Efficiency)
5. FINANCIAL ANALYSIS AND VALUATION
The Analysis of Financial Statement
Income Statement (Profit & Loss) , Balance Sheet & Cash Flow Statement
Financial Ratios (Return, Operation and, Profitability Ratios)
The valuation of common stocks
6. MODERN PORTFOLIO THEORY
Diversification and Portfolio Risks
The equilibrium Module: The Capital Asset Pricing Module
7. MODERN PORTFOLIO THEORY
Introduction, Forwards and Futures , Call and Put Options, Forward and Future Pricing
Option Pricing
8. INVESTMENT MANAGEMENT
Investment Companies
Active vs. Passive Portfolio Management
Classification of funds
The other Investment Companies
Performance assessment of managed funds (Sharpe Ratio, Traynor Ratio & Jensen measure or (Portfolio Alpha) .
More than 200 objective multiple choice questions which will help in being good knowledge in investment and portfolio management
This course will help to be good investor and helping in enhancement of to be portfolio management skills.
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