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Course Detail

Course Name Security Analysis and Portfolio Management
Course Code 24COM603
Program M. Com. (Finance & Systems)
Semester III
Credits 3
Campus Amritapuri

Syllabus

Unit 1

Meaning of Risk and Investments: Meaning of Risk – Total Risk – Systematic risk -Unsystematic risk – elements of systematic risk (interest rate risk etc..) and Unsystematic risk (business risk… etc), the concept of uncertainty, Investments – meaning – avenues of investments – financial assets – non- financial assets.
Measuring return and risk: Measuring return and risk under both certain and uncertain conditions,
i.e. measuring average return, expected return, standard deviation, beta (regression method and covariance method), alpha, measuring covariance, correlation, meaning of a portfolio, return from a portfolio, risk of a portfolio with two or more securities. Characteristic line, Securities Market Line (SML) and Capital Market line. (CML) Problems on the topics undermeasuring risk and return.

Unit 2

Equity Analysis and Evaluation: Equity analysis – Fundamental analysis – economic analysis – industry analysis – company analysis – technical analysis – Random walk theory – Dow theory – Market Breadth theory – introduction to Charts – moving averages – Supports and resistances – price patterns – Moving average oscillators – MACD – Momentum indicator – Relative strength Index.
(The students are expected to have a basic level of knowledge on matters specified in this paragraph) Equity Valuation: Valuation Process – Estimation of free Cash flows – estimation of Free Cash Flow To Firm (FCFF), estimation of free cash flow to equity (FCFE) Finding value of firm and equity using FCFF and FCFE – Present value valuation models – Dividend discount model – The discounted cash flow analysis – Relative valuation models – Asset valuation methods – Liquidation approach – Economic value added.
Problems only on equity valuation.

Unit 3

Bonds and Bond market: Types of bonds – difference between a bond and a debenture – zero coupon bonds – deep discount bonds – Simple valuation of a bond – relationship between the coupon rate, yield and the price of the bond – premium and discount in bondpricing – perpetuity bond – convertible bonds – re-issue of bonds – Nominal yield – current yield – and yield to maturity (YTM) – Malkiel’s theorems – Floating rate bonds – risk associated in investing in bonds – duration of a bond – factors that affect duration – application of duration – modified duration – convexity of bonds – bond management strategies – passive strategies active strategies – the concept of swaps and immunization. Problems on the above topics.

Unit 4

CAPM and Portfolio construction Theories: Capital Assets pricing theory – Arbitrage pricing theory,
approaches to portfolio construction – Markowitz model – Markowitz efficient frontier theory – The Sharpe Index model – Single index model – Sharpe’s optimal portfolio. (only theory questions on the above topics)

Unit 5

Portfolio Evaluation: Sharpe’s Performance Index – Treynor’s performance Index – Jenson’s performance Index – Portfolio management – active – passive – The formula plans – revising the portfolio – the cost of revision.
Problems on the above topics.

Course Objectives and Outcomes

Course Objective:
To provide an insight into the process and concept of security analysis and managing the portfolio of investments.

Course Outcomes:

CO1 Insight into the meaning of risk and return
CO2 Knowledge on equity analysis and valuation
CO3 Understand the various types of bonds and risk associated with it
CO4 Knowledge on portfolio construction theories
CO5 Evaluation of portfolio

Text / Reference Books

Textbooks:

  1. Kevin – Security Analysis and Portfolio Management – PHI
  2. Punithavathy Pandian – Security Analysis and Portfolio Management – Vikas Publishing House

Reference Books:

  1. Preeti Singh – Investment Management, Security Analysis and Portfolio Management, Himalaya Publishing House
  2. Bhalla – Investment Management, Security Analysis and Portfolio Management – S. Chand
  3. Ranganatham, Madhumathi – Security Analysis and Portfolio Management – Pearson

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