Taxmann’s Security Analysis & Portfolio Management Text and Cases by Vanita Tripathi – Reprint 2025.
Taxmann’s Security Analysis & Portfolio Management Text and Cases by Vanita Tripathi – Reprint 2025.
Description
In today’s volatile, uncertain, complex, and ambiguous (VUCA) financial environment, investment decisions require more than intuition—they demand a thorough understanding of tools, techniques, and strategies. Security Analysis & Portfolio Management | Text and Cases stands out for its holistic coverage of investment practices, blending Indian and global perspectives with up-to-date insights on regulatory reforms and financial innovations. Designed to meet academic and professional needs, the book equips readers with actionable strategies to navigate modern financial markets. Drawing on over 17 years of teaching and research, the author combines academic expertise with practical insights to address critical topics, including risk-return analysis, portfolio management, and investor protection.
This book caters to a diverse audience: students and educators will find it ideal for meeting academic requirements in Security Analysis and Portfolio Management courses; investment professionals can use its practical insights and advanced tools to enhance their expertise; and researchers or academicians will benefit from its comprehensive coverage of topics such as market efficiency, stock market anomalies, and advanced investment concepts.
The Present Publication is the Reprint 2025 Edition, authored by Prof. (Dr.) Vanita Tripathi. The pedagogical strengths of this book are as follows:
- [Learning Outcomes] Each chapter begins with clearly defined objectives to guide your learning journey
- [Illustrative Examples] Complex concepts are broken down with step-by-step explanations, real-world examples, and charts
- [Solved Problems] Practical problems enhance your ability to apply theoretical knowledge effectively
- [Chapter Summaries] Key takeaways at the end of each chapter consolidate learning
- [Case Studies] Real-world scenarios encourage the application of concepts to practical investment decisions
- [Self-Assessment Tools] Assignments, true/false statements, and numerical problems test your knowledge
The thoughtfully structured twelve chapters address critical aspects of investment management. The comprehensive framework of this book is as follows:
- Investments – An Overview
- This chapter sets the foundation for understanding investment by discussing the differences between financial and real investments, the objectives of investment, and key concepts such as speculation, risk-return trade-offs, diversification, and hedging. It also explores the impact of inflation and taxes on investments, as well as active and passive investment strategies
- Indian Securities Market
- Examines the structure and key players in the Indian securities market, highlighting trading mechanisms, stock indices, and sources of financial information. This chapter also includes an analysis of SEBI’s role, prohibition of insider trading, and recent developments like algorithmic trading, online trading systems, and rolling settlements
- Analysis of Return and Risk
- It explains types of returns, including holding period and risk-adjusted returns, alongside their calculation methods. It also covers systematic and unsystematic risks, sources of risks, and methods for measuring and managing total risk, systematic risk, and portfolio risk, with solved problems for practical understanding
- Fixed Income Securities
- Focuses on bond fundamentals, types of bonds, and valuation techniques, including convertible debentures and zero-coupon bonds. The chapter introduces advanced concepts such as bond yields, bond duration, and immunisation strategies, alongside credit rating methodologies and their importance
- Equity Analysis – Fundamental Analysis
- Explores the EIC (Economic, Industry, Company) framework of fundamental analysis, equipping readers with tools to evaluate companies and industries. It discusses the economic indicators and their relevance to investment decisions
- Technical Analysis
- Provides tools and techniques for technical analysis, including charting, patterns, and specific stock indicators. It contrasts fundamental analysis with technical analysis and discusses the limitations of using technical analysis alone for investment decisions
- Efficient Market Hypothesis (EMH)
- Discusses the Random Walk Theory and the three forms of market efficiency—weak, semi-strong, and strong. It evaluates the implications of EMH for investors and provides methods to test market efficiency
- Valuation of Equity Shares
- Provides insights into the valuation of equity shares using various models such as the Dividend Discount Model (DDM), Price-to-Earnings (P/E) Ratio, and the Capital Asset Pricing Model (CAPM). It includes examples to enhance understanding of these valuation techniques
- Portfolio Analysis and Selection
- Focuses on portfolio management processes, with detailed discussions on Markowitz’s model, mean-variance optimisation, and capital market theory. It also covers portfolio construction and selection, including the role of efficient frontiers, SML (Security Market Line), and CML (Capital Market Line)
- Portfolio Performance Evaluation and Mutual Funds
- Discusses portfolio performance metrics like Sharpe, Treynor, and Jensen indices. This chapter also discusses the evolution of mutual funds, their various schemes, and methodologies for evaluating mutual fund performance, with updates on the latest developments in the mutual fund industry
- Financial Derivatives
- Provides a comprehensive introduction to derivatives, including forwards, futures, and options, along with their pricing mechanisms and practical applications. It discusses the derivatives market in India and highlights their significance in risk management
- Investor Protection
- Highlights SEBI’s initiatives in investor protection, including SCORES (SEBI Complaints Redress System), securities ombudsmen, and awareness programs. It also discusses reforms in insider trading regulations, the role of stock exchanges in protecting investors, and the growing trend of investor activism
Details
- Binding : Softcover
- Publisher : Taxmann
- Author : Vanita Tripathi
- Edition : Reprint 2025
- Language :Â English
- ISBN-10 : 9789364558112
- ISBN-13 : 9789364558112
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