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Sr.

College Roll Name of Students Assignment


no No
Concept of risk and its types, measurement of risk
1 29, 48
Aanchal/ Abhishek
Financial assets, types of financial assets
2 34, 50
Abhishek/ Nikhil
Asset allocation strategy, models of asset
3 31, 61 allocation
Harmanjeet/ Dennis
Portfolio management, process and importance
4 78, 60
Aditi/ Anjali
Financial Markets, Feature,
5 20, 55 advantage/disadvantage
Anjali/ Chkshu
Capital Markets, nature, function, importance
6 49, 56
Divya /kanika
Primary market and secondary market
7 59, 81
Harsh/ Muskan
Efficient market hypothesis, nature, assumptions
8 44, 45 ,form
Sukanya/ Kanuj
Fundamental Analysis, objectives, dimensions and
9 22, 26 tool
Karishma/ Manvi
Industry Analysis, life cycle, factor affecting and
10 46, 82 tools and technique
Megha/ Ritu
11 32, 37 Equity portfolio management strategies
Paras/ Piyush
Technical analysis, assumptions, factor and
12 11, 12 weakness
Parul/ Aman
13 1, 24 Bond, nature, types ,analysis and valutaion
Ravi/ Snehlata
14 52, 68 Bond Portfolio management
Roopam/ Shinam
15 39, 69 Bond Immunization
Shivani/ shivani

16 8, 72
Investment, objective, process and types
Sonam/ Sumit
Concept of return, types of return, relationship
17 77, 41, 53 between risk and return
Dipali/ Tanya/Mansi

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