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Performance Evaluation of Mutual Funds
Details
Most of the investors wants to get maximum rewards with the little concern about the risk, this book will help the readers to identify the various investment avenues those are not aware about the stock market operations and wants to generates handsome reward from the market. Risk can emanate from various sources. This can be a change in the economy, industry, political situation, currency, interest rates, inflation, change in management, fraud, cost of raw materials, and dozens of other external and internal factors. now a days risk is measurable. And it would be helpful for investors to make the investment decision. this book also cover the fundamental of various measurement tools for performance evaluations and also justifies that why people choose the mutual funds rather then directly investing in stock market. this book gives all the aspects of mutual funds and their performance evaluation.
Autorentext
Dr. Jaykumar Joshi,M Com, MBA(Finance),LLB,MBA(Banking),PhD is working as Associate Professor at Anand Institute of Management & Information science (MBA) Affiliated to Gujarat technological University, Dr Joshi having 11 years of teaching and industrial experiences.
Weitere Informationen
- Allgemeine Informationen
- GTIN 09786204739762
- Sprache Englisch
- Titel Performance Evaluation of Mutual Funds
- Veröffentlichung 25.01.2022
- ISBN 620473976X
- Format Kartonierter Einband
- EAN 9786204739762
- Jahr 2022
- Größe H220mm x B150mm x T18mm
- Autor Jaykumar Joshi
- Untertitel A Risk- Reward Measurement
- Genre Management
- Anzahl Seiten 288
- Herausgeber LAP LAMBERT Academic Publishing
- Gewicht 447g