Investment Management is an essential and dynamic field in today’s fast-evolving financial environment. This book has been designed to provide students, academicians, and budding investors with a clear, structured, and analytical foundation in investment principles, risk and return dynamics, stock market indices, time value of money, and modern portfolio theories. By integrating conceptual clarity, practical illustrations, case studies, and solved problems, the book aims to build strong decision-making skills and financial insight required for effective investment planning and portfolio management.
Contents –
UNIT-1 : Introduction to Investment Management
UNIT-2 : Risk and Return
UNIT-3 : Market Indices
UNIT-4 : Time Value of Money
UNIT-5 : Portfolio Analysis
