Equity Markets- Practical

Paper Code: 
24CFSG414
Credits: 
2
Contact Hours: 
30.00
Max. Marks: 
100.00
Objective: 

The students will be enabled to assess financial planning needs, select suitable investment products, implement investment portfolios, evaluate client profiles, and analyze market trends and fraud cases through practical exercises and case studies.

 

Course Outcomes: 

Course

Learning outcome

(at course level)

Learning and teaching strategies

Assessment Strategies

Course Code

Course

Title

 

24CFSG 414

 

Equity Markets-Practical

 (Practical)

CO127: Analyse various asset classes on the basis of risk return profile

CO128: Differentiate the investment avenues on the basis of client’s investment profile

CO129: Critically evaluate the process of acquiring the chosen investment portfolio through mock trading

CO130: Formulate investment portfolio Report for the client

CO131: Evaluate the current trends, issues and frauds in financial markets

CO132: Contribute effectively in course-specific interaction

 

Approach in teaching: Intractive Letures, Practical cases, Power point presentation.    

 Learning activities for the students:                              Seminar presentation, Live practical problems analysis

Class participation, Report writing,  and presentations,

 C A Test, Semester End Exams.

 

 

6.00
Unit I: 
Helping Investors with Financial Planning

• Assessing the need for Financial Planning,
• Role of different asset classes and allocation
• Basics steps of financial planning.
• Risk Return analysis of various investment avenues

6.00
Unit II: 
Selecting the Right Investment products for Investors

• Analyse the needs and profile of the client
• On the basis of the risk profile choose the appropriate investment avenue

6.00
Unit III: 
Implementation of the Investment Portfolio

• Acquiring the chosen investment avenues (Mock trading)
• Assessing the risk return profile of chosen investment portfolio

6.00
Unit IV: 
Final Reporting of the Investment Profile of the Client

 Evaluation of the Investment Portfolio
 Creating Final Report of the Investment Profile

6.00
Unit V: 
Class Presentation/ Report/ Case Study Analysis On

• FII and various market players
• Case studies based on Frauds in the financial market.
• Current Trends in equity Markets

Essential Readings: 

• Pathak Bharti V, , Indian Financial System, Pearson Education, New Delhi
• Mutual fund products and services,IIBF module,Taxman Publications
• N. J .Yasaswy , Personal Investment & Taxation, Year book, Y 2011-12 , ICFAI

References: 

Suggested Readings:
• Agarwal M.R,. Security analysis and portfolio management , Garima Publications
• National Stock Exchange of India Ltd, Mutual Fund Basic and Advisors Module.
• NCFM and NISM Modules
E-contents
• Financial Scandals : https://www.lehnerinvestments.com/en/biggest-financial-scandals-fraud-po...
• Famous Financial Scams In india: https://www.goodreturns.in/classroom/2014/12/7-top-famous-financial-scam...
• Investments (SIE), https://www.expresslibrary.mheducation.com/bookshelf Workbook for NISM
https://www.bseindia.com/
https://www.nseindia.com/
https://www.sebi.gov.in/

Reference Journals
• Journal of Financial Markets :
https://www.sciencedirect.com/journal/journal-of-financial-markets
• Indian journal of research in Capital markets : http://indianjournalofcapitalmarkets.com/
• Journal of Market Finance, http:// sagepub.com International journal of Business Economics and Management Research volume

Academic Year: