CA | CMA | CS Classes

N CMAG314B C Strategic Financial Management

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

 

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