PROJECT VIVA VOCE

Paper Code: 
FMG 418
Credits: 
3
Contact Hours: 
45.00
Max. Marks: 
100.00
Objective: 

Learning outcome

 (at course level)

Learning and teaching strategies

Assessment Strategies

On completion of this course, the students will be able to

 

CO160 Acquaint with the methods valuation of securities.

CO161 Interpret and analysis exchange rate stability by RBI.

CO162 Familiarize with various charts and patterns to examine stock  market behavior.

CO163 Develop competency among the student to gain knowledge of diversification strategies such as Mergers &Acquisitions.

CO164 Develop knowledge regarding risk management.

 

Class lectures

Seminars

Tutorials

Group discussions and Workshops

Question preparation

 

 

Class test, Semester end examinations, Quiz,

Solving problems in

tutorials, Assignments,

Presentation, Individual

and group projects

 

6.00

Case Study/ Team Project/ Application Based Question/ related to- Valuation of Securities

6.00

Team Project/ Group Discussion/ presentation on exchange rate stability by RBI.

6.00

Presentation/Group Discussion on
• Selection of securities according based on Fundamental Analysis
• Selection of securities by analyzing various charts and patterns in Technical Analysis

6.00

Case studies related with Mergers & Acquisition

6.00

Team Project/ Application Based Question/ Case studies on Risk management

Essential Readings: 

• Agarwal M.R., Security Analysis and Portfolio Management -Garima Publications.
• Singh Preetam, Investment Management, 9th edition, Himalaya Publishing House, New Delhi 2000.
• Rao P Subbo, International Business: Text and Cases, Himalaya Publishing House.
• Thummuluri Siddaiah, International Financial Management: An Analytical Framework, Pearson India Education Services Ltd.

References: 

• NCFM Module
• Vyuptakesh Sharan, International Financial Management, PHI Learning Private Ltd.
• Pradeep Kumar Sinha, International Financial Management, Himalaya Publishing House.
• Jeff Madura ,Global Portfolio Management for Institutional Investors, Greenwood Press, 1996.
• Klein Robert and Jess Lederman, Global Asset Allocation, John Wiley & Sons, 1994.
E RESOURCES
http://awsone.capitaline.com/externalaccess.html
https://archive.nptel.ac.in/courses/110/105/110105031/
https://www.capitalmarket.com/
https://www.euromoney.com/learning/fin225/global-capital-markets-e-learning
https://in.investing.com/charts/stocks-charts
https://www.nseindia.com/
https://www.moneycontrol.com/
https://stockcharts.com/

JOURNALS
• Finance India, https://financeindia.org/
• Indian Journal of Research in Capital Market, New Delhi
• Journal of Capital Markets Studies,T urkish Capital Markets Association
• Journal of International Financial Markets, Institutions & Money, RMIT University, Melbourne, Victoria, Australia
• The Journal of Finance, https://onlinelibrary.wiley.com/journal/15406261

Academic Year: