FINANCIAL ECONOMICS : THEORY & PRACTICE . (Record no. 481181)
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| 000 -LEADER | |
|---|---|
| fixed length control field | 01576nam a2200253Ia 4500 |
| 008 - FIXED-LENGTH DATA ELEMENTS--GENERAL INFORMATION | |
| fixed length control field | 100315s9999 xx 000 0 und d |
| 020 ## - INTERNATIONAL STANDARD BOOK NUMBER | |
| International Standard Book Number | 81-7493-805-2 |
| 040 ## - CATALOGING SOURCE | |
| Transcribing agency | ENGLISH |
| 082 ## - DEWEY DECIMAL CLASSIFICATION NUMBER | |
| Item number | 6446 |
| Classification number | 332 |
| 100 ## - MAIN ENTRY--PERSONAL NAME | |
| Personal name | "AVADHANI , V. A . " |
| 245 ## - TITLE STATEMENT | |
| Title | FINANCIAL ECONOMICS : THEORY & PRACTICE . |
| 260 ## - PUBLICATION, DISTRIBUTION, ETC. (IMPRINT) | |
| Place of publication, distribution, etc | Mumbai |
| Name of publisher, distributor, etc | Himalaya |
| Date of publication, distribution, etc | 2000 |
| 300 ## - PHYSICAL DESCRIPTION | |
| Extent | 339P |
| 365 ## - TRADE PRICE | |
| Price note | Rupees |
| Unit of pricing | 1 |
| Price amount | 135.00 |
| 366 ## - TRADE AVAILABILITY INFORMATION | |
| Publishers' discount category | 10 |
| 505 ## - FORMATTED CONTENTS NOTE | |
| Miscellaneous information | Rashmi Bhutkar |
| 530 ## - ADDITIONAL PHYSICAL FORM AVAILABLE NOTE | |
| Availability source | BG-(Shubham Books) 1097/19-11-2007 |
| Additional physical form available note | 1097/19-11-2007 |
| 536 ## - FUNDING INFORMATION NOTE | |
| Text of note | 01/04/2007-31/03/2008 |
| 620 ## - | |
| -- | "ANALYTICAL BACKGROUND- FINANCIAL ACCOUNTING, FINANCIAL ANALYSIS, BASIC FINANCIAL RATIO AND ANALYSIS, VALUATION AND PRICING MODELS, FINANCIAL ARITHMETICS, INVESTMENT AND SECURITY ANALYSIS- SECURITY MARKET ANALYSIS, INVESTMENT ANALYSIS AND THEORY, INVESTMENT AVENUES, FETURES OF INVESTMENT AVENUES, SOURCES OF INVESTMENT INFORMATION, INVESTMENT DECISION MAKING, PORTFOLIO THEORY AND MODELS- PORTFOLIO THEORY, RESK AND RETURN IN PORTFOLIO MANAGEMENT, PORTFOLIO ANALYSIS, DIVERSIFICATION AND TECHNIQUES OF RISK REDUCTION, MARKOWITZ MODEL, MODERN PORTFOLIO THEORY, EFFICIENT MARKET THEORY (RANDOM WALK HYPOTHESIS), CAPITAL MARKET THEORY, CAPITAL ASSET PRICING MODEL, PORTFOLIO SELECTION, RISK MANAGEMENT (DERIVATIVES)- DERIVATIVE MARKETS, OPTIONS TRADING, VALUATION OF RIGHTS, WARRANTS, FUTURES TRADING, SWAP MARKET. " |
| 630 ## - SUBJECT ADDED ENTRY--UNIFORM TITLE | |
| Uniform title | FINANCIAL ECONOMICS : THEORY & PRACTICE . |
| 650 ## - SUBJECT ADDED ENTRY--TOPICAL TERM | |
| Topical term or geographic name as entry element | FINANCIAL ECONOMICS |
| 730 ## - ADDED ENTRY--UNIFORM TITLE | |
| Uniform title | FINANCIAL ECONOMICS : THEORY & PRACTICE . |
| 942 ## - ADDED ENTRY ELEMENTS (KOHA) | |
| Koha item type | Book |
| Withdrawn status | Lost status | Damaged status | Not for loan | Home library | Current library | Date acquired | Cost, normal purchase price | Total Checkouts | Full call number | Barcode | Date last seen | Price effective from | Koha item type |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Dr. V. N. Bedekar Institute of Management Studies Library | Dr. V. N. Bedekar Institute of Management Studies Library | 11/15/2007 | 150.00 | 332 /AVA 6446 | VPMBRIMS-6446 | 03/19/2010 | 03/19/2010 | Book |