IGNOU MS-44 - Security Analysis and Portfolio Management

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Security Analysis and Portfolio Management

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IGNOU MS-44 Code Details

  • University IGNOU (Indira Gandhi National Open University)
  • Title Security Analysis and Portfolio Management
  • Language(s)
  • Code MS-44
  • Subject Financial Management
  • Degree(s) MBA (MS)
  • Course Core Courses (CC)

IGNOU MS-44 English Topics Covered

Block 1 - An Overview

  • Unit 1 - Nature and Scope of Investment Decisions
  • Unit 2 - Components of Investment Risk
  • Unit 3 - Valuation of Securities

Block 2 - Securities Market in India

  • Unit 1 - Indian Stock Market : Organisation and Functioning
  • Unit 2 - Regulation

Block 3 - Analysis for Equity Investment

  • Unit 1 - Economy and Industry Analyses
  • Unit 2 - Company Level Analysis
  • Unit 3 - Technical Analysis
  • Unit 4 - Efficient Market Hypothesis

Block 4 - Portfolio Theory

  • Unit 1 - Portfolio Analysis
  • Unit 2 - Portfolio Selection
  • Unit 3 - Capital Market Theory
  • Unit 4 - Portfolio Revision

Block 5 - Institutional and Managed Portfolio

  • Unit 1 - Performance Evaluation of Managed Portfolio
  • Unit 2 - Investment Companies
  • Unit 3 - Mutual Funds
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IGNOU MS-44 (January 2022 - July 2022) Assignment Questions

1. What is the significance of investment risk? Explain the various risks that may influence the investment risk. 2. What are Primary and Secondary markets? Explain the Principal steps involved in floating a Public Issue and discuss the SEBI guidelines for floating Initial Public Offering (IPO) with help of a care example. 3. Discuss the different measures of value for company valuation? Explain the various methods used to assess and measure future value of equity shares which are based on quantitative factors with suitable examples. 4. What is “Efficient Market Hypothesis”? Discuss the forms of Market Efficiency and explain the empirical tests used to determine the degree of efficiency in the stock markets. 5. Compare and Contrast Capital Asset Pricing Model (CAPM) with Arbitrage Pricing Theory (APT). Which of the two is a better model for pricing risky assets and why, explain with reasons.

IGNOU MS-44 (January 2021 - December 2021) Assignment Questions

1. What is the significance of investment risk ? Explain the various risks that may influence the investment risk. 2. What are Primary and Secondary markets? Explain the Principal steps involved in floating a Public Issue and discuss the SEBI guidelines for floating Initial Public Offering (IPO) with help of a care example. 3. Discuss the different measures of value for company valuation? Explain the various methods used to assess and measure future va lue of equity shares which are based on quantitative factors with suitable examples. 4. What is “Efficient Market Hypothesis”? Di scuss the forms of Market Efficiency and explain the empirical tests used to determine the degree of efficiency in the stock markets. 5. Compare and Contrast Capital Asset Pric ing Model (CAPM) with Arbitrage Pricing Theory (APT). Which of the two is a bett er model for pricing risky assets and why, explain with reasons.
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