Summary Of Security Analysis and Portfolio Management
Dominate investment strategies with Security Analysis and Portfolio Management by M.A. Shakila Banu. This comprehensive corporate finance textbook outlines stock market valuation, risk mitigation models, and asset allocation strategies. Highly recommended for MBA finance students, stock brokers, and wealth managers, it covers fundamental and technical analysis, mutual fund metrics, and capital asset pricing models (CAPM). Buy this investment manual to master financial market dynamics, portfolio diversification techniques, and wealth optimization practices.
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