The book covers a wide range of topics, including investment fundamentals, investment avenues, risk and return, security analysis (both fundamental and technical), and portfolio management theories and strategies.
The book is authored by Yashmin Sofat Vinayak, Sanjeev Kumar, and Shaveta Chugh, who are well-versed in finance and investment management.
The content of the book is tailored to comply with the university's syllabus for B.Com 2nd year, ensuring it meets the academic needs of the students.
This book integrates theoretical concepts with practical applications, helping students develop a personal investment strategy that is informed by both theory and real-world insights.
Yes, it emphasizes practical insights and analytical techniques that are essential for making informed investment decisions, thus preparing students for real-world financial scenarios.