Investment analysis & Portfolio Strategy in Financial Markets Innovations in Investment
₹499.00
ISBN:- 978-93-6976-880-6
Author:- Dr. Rajeev Kumar Sinha
Total Pages:- 212
The global financial landscape has undergone a profound transformation in
recent years, driven by technological advancements, globalization, and the
increasing complexity of financial instruments. In this dynamic environment,
understanding investment analysis and portfolio strategy has become essential
not only for finance professionals but also for students, researchers, and
individual investors.
This book, “Investment Analysis & Portfolio Strategy in Financial Markets,” is
designed to provide a comprehensive and practical understanding of investment
principles, financial markets, and portfolio management techniques. It integrates
fundamental concepts with modern approaches, including risk-return analysis,
asset allocation, behavioral finance, and emerging trends such as digital trading
platforms and algorithmic investing.
This book will serve as a valuable resource for BBA, MBA, and other
management students, as well as for professionals preparing for careers in
finance and investment management. It is my sincere hope that readers will find
this book insightful, practical, and intellectually enriching.
Acknowledgement
The successful completion of this book would not have been possible without
the support and encouragement of many individuals and institutions.
I express my sincere gratitude to the management and academic colleagues of
ARKA JAIN University, Jharkhand, for providing a conducive environment for
research and academic development. Their continuous support and motivation
have been instrumental in the completion of this work.
Finally, I extend my heartfelt gratitude to my Father Late Binay Kant Prasad and
Mother Premlata Sinha for their unwavering support, patience, and
encouragement throughout the process of writing this book. Their belief in me
has been my greatest strength.


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