1 |
Investment Decisions, Project Planning and
Control |
2 |
Evaluation of Risky Proposal for Investment
Decisions |
3 |
Leasing Decisions |
4 |
Securitisation |
5 |
Introduction – Security Analysis and Portfolio
Management |
6 |
Equity and Bond Valuation and Evaluation of
Performance |
7 |
Mutual Funds |
8 |
Portfolio Theory and Practice |
9 |
Asset Pricing Theories |
10 |
Portfolio Performance Evaluation and Portfolio
revision |
11 |
Efficient market Hypothesis |
12 |
Risks in Financial Market |
13 |
Financial Derivatives – Instruments for Risk
Management |
14 |
The International Financial Management |
15 |
Foreign Exchange Market |
16 |
Foreign Exchange Risk Management |
17 |
Digital Finance |
|
CA | CMA | CS Classes
N CMAG314B C Strategic Financial Management
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