The course will enable the students to know how to evaluate portfolio performance using risk-adjusted metrics and implement effective risk management strategies in portfolio construction.
Course
|
Learning outcome (at course level) |
Learning and Teaching Strategies |
Assessment Strategies |
|
Course Code
|
Course Title |
|||
SBFS 405 24BFS 10124101 |
Internship (Practical) |
|
Approach in teaching: Blended Learning, Collaborative approach, Interactive Lectures, Discussion, Group Projects, PowerPoint presentation.
Learning activities for the students: Self-learning assignments, Seminar presentations, Case Study Analysis, Brainstorming activities,
|
Class tests, CA Test, Semester end examinations, Quiz, Evaluation of student Presentations,
Evaluation of Individual and group projects,
Assessment of Project Reports and viva voce. |
Case studies/PowerPoint presentation/Poster Presentation on Analyzing how macroeconomic variables influence fundamental analysis and investment decisions./ Study non-traditional investments such as hedge funds, private equity, and cryptocurrencies and their role in diversified portfolios.
Presentation/discussion on Analyzing the role of diversification in reducing portfolio risk. Develop a diversified portfolio for an investor with moderate risk tolerance, considering various asset classes and geographical regions.
Case Study/Powerpoint Presentation/Discussion on analyzing the relationship between risk and return and how it influences investment choices.
Report /presentation on the Impact of economic cycles and market trends on the performance of active vs. passive portfolio management strategies
Case studies/PowerPoint presentation/Poster Presentation on
Assessment of portfolio performance using risk-adjusted metrics like Sharpe ratio and Jensen's alpha/ Explore risk management strategies such as diversification, hedging, and use of derivatives in portfolio construction
• Agarwal M.R., Security Analysis and Portfolio Management -Garima Publications.
• Donald E. Fisher & Ronald J. Jordan, Security Analysis and Portfolio Management, Prentice Hall of India, 2003.
SUGGESTED READINGS
• Eun, Cheol S. and Resnick, Bruce G., International Financial Management, Tata McGraw- Hill.
• Punithavathy Pandian, Security analysis & Portfolio Management, , Vikash Publication House.
E RESOURCES
• https://in.investing.com/charts/stocks-charts [2]
• https://www.nseindia.com/ [3]
• https://www.moneycontrol.com/ [4]
• https://stockcharts.com/ [5]
• Swayam Nptel portal,https://swayam.gov.in/explorer?searchText=financial+markets [6]
• National Digital Library
JOURNALS
• The Journal of Finance, https://onlinelibrary.wiley.com/journal/15406261 [7]
• International Journal of Finance and Economics, https://onlinelibrary.wiley.com/journal/10991158 [8]
Directory OF Open Access Journals (OA)
Finance India, https://financeindia.org/ [9]
Links:
[1] https://finance.iisuniv.ac.in/courses/subjects/practical-risk-analysis-and-portfolio-managment
[2] https://in.investing.com/charts/stocks-charts
[3] https://www.nseindia.com/
[4] https://www.moneycontrol.com/
[5] https://stockcharts.com/
[6] https://swayam.gov.in/explorer?searchText=financial+markets
[7] https://onlinelibrary.wiley.com/journal/15406261
[8] https://onlinelibrary.wiley.com/journal/10991158
[9] https://financeindia.org/
[10] https://finance.iisuniv.ac.in/academic-year/2023-2024