PROJECT WORK VIVA VOICE

Paper Code: 
FSG 618 B
Credits: 
2
Contact Hours: 
30.00
Max. Marks: 
100.00
Objective: 

Learning outcome (at course level)

Learning and teaching strategies

Assessment Strategies

 
 

Upon successful completion of this course, the student will be able to:

CO 242  Acquire knowledge about various investment avenues and alternative investment options available in the financial markets

CO 243 Demonstrate the ability to comprehend the use of insurance related documents.

 

CO 244 Build ability to comprehend various techniques of Fundamental Analysis of  securities/ Companies/ IPO.

 

CO 245 Obtain knowledge of portfolio construction and risk diversification in investment.

CO 246 Evaluate and compare different insurance policies and their usefulness for the investors.

Approach in teaching:

Interactive Lectures, Discussion, Tutorials, Reading assignments, Team teaching

 

 

Class test, Semester end examinations, Quiz, Solving Numerical problems in tutorials, Assignments, Class Presentation

 

 

 

6.00

Group discussion / Presentations on various investment avenues and on Alternative Investment options available in India and in International financial markets. With special reference to Tax saving options.

6.00

Filling of Insurance form (endowment, market link, annuity, term plans)

6.00

Individual activity on fundamental analysis of any Stock/company/IPO.

6.00

Mock exercise/roll play of Portfolio construction and risk diversification for different types of customers.

6.00

Discussion and Preparation/Presentation of Report on comparison of two insurance plans

Essential Readings: 

• MJ Mathew, Risk Management and Insurance , RBSA Publications,Jaipur.
• Bhalla V.K ,Investment Management (Security Analysis and Portfolio Management), S.Chand
• M.R. Agarwal, Security Analysis and Portfolio Management, Garima Publications.
• Dr. R.K. Kothari, Dr. Mukesh Jain , Risk and Insurance Management, RBD publications, Jaipur
• Neelam C.Gulati, Principles of Insurance Management, Excel books

References: 

SUGGESTED READINGS:
• George E. Rajda ,Principles of risk management and Insurance, Pearson Publication
• P.K. Gupta,Insurance and risk management, Himalaya publishing house
• P. Pandian,Security Analysis and Portfolio Management, Vikas Publishing house ltd.
• Donald E.F , Ronald J.J, Ashwini P.Security Analysis and Portfolio Management, Pearson.

e-RESOURCES:
• World Ebook Library
• Investments (SIE), https://www.expresslibrary.mheducation.com/bookshelf Workbook for NISM
https://fincomindia.nic.in/
https://www.idrbt.ac.in/assets/publications/Best%20Practices/Digital%20B...
• Online Financial Investment Resources: https://study.com/academy/lesson/online-financial-investment-resources.html
• EBSCO-BSE

JOURNALS:
• Economic and Political Weekly, www.epw.in
• Indian Journal of Finance
• Journal of Emerging Market Finance : http:// sagepub.com
• International Journal of Financial Management:http://publishingindia.com

Academic Year: