Master of Business Administration- MBA Semester 3 MF0010 –Security Analysis and Portfolio Management- 4 Credits (Book ID: B 1208) Assignment

Set -1 (60 marks)
Note: Answer all questions (with 300 to 400 words each) must be written within 6-8 pages. Each Question carries 10 marks 6 X 10=60 Q1.

Explain the meaning of investment and security. Describe the investment process


Write about the secondary markets? Explain the role of financial intermediaries.

Q3. Q4.

Explain the meaning of risk. Describe what are the factors that affect risk Briefly explain the variables that are analyzed in economy analysis.


Explain about technical indicators and How are they used?


What are the implications of Efficient Market Hypothesis to fundamental and technical analysis?

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