Derivatives, Money & Debt Market

Paper Code: 
BIE 332
Credits: 
04
Contact Hours: 
60.00
Max. Marks: 
100.00
Objective: 

Candidates undertaking the course will have comprehensive and up-to-date knowledge in the subject of derivatives, money & debt market along with security analysis and portfolio management.

16.00
Unit I: 
UNIT I

Derivatives Market
Basics of derivatives, Features, Indian derivatives Market, Market participants,
Types of derivatives instruments, Economic Significance of derivatives, Products, and Functions.
Forward and Futures- Introduction, major future contracts,
Futures Trading Strategies: Hedging, Arbitration and speculation. Difference between forward and future contracts.
Options: Basics of options, Options payoff, Break Even Price and Trading Strategies- Spread-Bull, Bear and Butterfly, Straddle, Strangle, Strips & Straps,
Swaps: Meaning, Interest rate swaps, Currency Swaps
Derivative Trading, clearing and settlement mechanism in India.

10.00
Unit II: 
UNIT II

Money Market
Introduction, Basic Characteristics of Money Market Securities, Money Market Intermediaries Treasury Bills, Types of T- Bills, Commercial papers, Commercial Bills, Certificates of Deposits, Call / Notice Money Market, , Money Market Mutual Funds,
Link between money market and monetary policy in India, Tools for Managing Liquidity in the money market
Money market derivatives

12.00
Unit III: 
UNIT III

Debt Market
Introduction, Basic characteristics of Debt Securities.
Private corporate Debt Market: product and participants, primary and secondary segment of corporate debt instrument.
Public sector undertaking bonds market: product and participants, primary and secondary market for debt instrument.
Government securities debt market: product and participants, primary and secondary market for debt instrument. Bond Valuation- Bond Price, YTM, YTC, current yield, spot interest rate, duration of bond.
Credit rating of Debt Securities. Trading, clearing and settlement mechanism of debt market

12.00
Unit IV: 
UNIT IV

Security Analysis - Overview of Stock exchange and stock indices.
Fundamental Analysis: Meaning, objectives, Company Analysis, Industry Analysis and Economic Analysis.
Technical Analysis: Meaning, utility of Technical Analysis, Technical v/s Fundamental Analysis. Theories of Technical Analysis-Dow Theory, Elliot Wave Theory.
Tools and Techniques of technical Analysis: price and Volume charts, Bar charts, Line chart, Candlestick charts, Trend, Head and Shoulders, Support and Resistance level, Moving Average. Criticism or Weaknesses of Technical Analysis.

10.00
Unit V: 
UNIT V

Portfolio Management, Risks and Returns: Concept of portfolio and portfolio management, Process of portfolio management, Types of portfolio management-Active portfolio management, Passive Portfolio Management, Defensive Portfolio management, Aggressive Portfolio Management, Income portfolio Management. Optimum Portfolio
Risk and Return – Concept, Total Risk and its components, Concept of Return, Measurement of Return-Realised return and Expected Return. An overview of Diversification of Risk.
Financial Regulation
Securities and Exchange Board of India
Reserve Bank of India

Essential Readings: 

• Ravi M.Kishore, Strategic Financial Management, Taxmann’s Publication.
• Williams, Michacls, Fundamentals of Option Markets, Mc Graw Hill, New Delhi
• Hull, John, Introduction to Futures, Option market, Prentice Hall of India, New Delhi
• Redhead, Keith, Financial Derivatives- An Introduction to futures, forwards,option and swaps, Prentice Hall of India, New Delhi
• Bhole L.M., Financial Institutions and Markets, Tata Mc Graw Hill, New Delhi
• Pathak, Bharati V., Indian Financial System, Pearson Education, New Delhi.
• Securities market and Products- Institute of Banking and Finance. Taxmann
• Security Analysis and Portfolio Management,M.R. Agarwal-Garima Publications.
• Security Analysis and Portfolio Management,Suyash N Bhatt-Biztantra publication.

Academic Year: