Taxmann Investing in Stock Markets Vanita Tripathi Neeti Panwar

Taxmann Investing in Stock Markets Vanita Tripathi Neeti Panwar

Description

This book is designed to provide readers with:

  • A comprehensive understanding of the investment environment.
  • Insight into the investment decision process.
  • Knowledge of the trading mechanism in stock markets.

It explains various concepts, tools, and techniques related to investment in financial assets with lively examples and suitable illustrations, focusing primarily on equity shares.

This book covers the entire syllabus prescribed for students pursuing:

  • Undergraduate Students of the University of Delhi (Regular)
  • Non-Collegiate Women’s Education Board
  • School of Open Learning of the University of Delhi
  • Various Central Universities throughout India

The Present Publication is the 8th Edition, authored by Prof. (Dr) Vanita Tripathi & Neeti Panwar, with the following noteworthy features:

  • [Features of the 8th Edition] are as follows:
    • Updated Information – Latest data tables, facts, and information regarding stock markets
    • Technical Analysis – Introduction to the roles and importance of primary and secondary market segments
    • Indian Securities Market – Coverage of clearing corporations in India
    • New Stock Exchange – Introduction to the newest national stock exchange, MSEI (Metropolitan Stock Exchange of India)
    • Derivatives Market – Addition of the EIC (Economy, Industry, Company) framework for fundamental analysis of stocks, with detailed illustrations and diagrams of call and put option payoffs
    • Trading in Securities – Inclusion of filter rules, Credit Balance Theory, MACD (Moving Average Convergence Divergence), advance-decline ratio, and advanced interactive charts for technical analysis
  • [Simple | Systematic | Comprehensive Explanation] Clear and detailed explanation of investment concepts, procedures, and techniques
  • [Learning Outcomes] Each chapter begins with a list of learning outcomes that set the framework for the chapter
  • [Illustrations and Examples] Concepts and techniques are explained with lucid examples and illustrations
  • [Solved Problems] Each chapter includes solved problems for better understanding and application
  • [Summary Points] Recap key concepts at the end of each chapter
  • [Test Yourself] Assignments in each chapter to test knowledge, including True/False statements, theory questions, and numerical problems
  • [Project Work] Opportunities to apply investment concepts in real life
  • [Previous Year’s Question Papers] Includes previous year’s question papers for student reference

The contents of this book are as follows:

  • Basics of Investment
    • Modes of Investment – Understand direct and indirect investing
    • Approaches to Investing – Understand active and passive investment strategies
    • Investment Decision Process – Learn the steps involved in making sound investment choices
    • Responsible Investing – Understand the principles of ethical and sustainable investment practices
  • Risk & Return
    • Risk-Return Trade-off – Analyze the relationship between risk and potential returns
    • Measurement of Return – Techniques to calculate and interpret investment returns
    • Types of Risk – Differentiate between systematic and unsystematic risks
    • Impact of Inflation and Taxes – Assess how these factors influence investment outcomes
  • Fundamental Analysis
    • Approaches to Security Analysis – Introduction to Fundamental Analysis Techniques
    • EIC Framework – Examine the economy, industry, and company analysis
    • Stock Valuation Models – Learn various models for valuing equity shares
  • Technical Analysis
    • Basic Tenets – Understand the propositions of technical analysis
    • Trading Rules and Indicators – Familiarize yourself with key technical indicators and chart patterns
    • Limitations and Pitfalls – Recognize the limitations and common mistakes in technical analysis
  • Indian Securities Market
    • Structure and Participants – Overview of the primary and secondary markets
    • Regulation and Developments – Insight into SEBI’s role and recent advancements in the Indian stock market
  • Stock Exchanges
    • Role and Function – Understand the significance of stock exchanges and trading mechanisms
    • Securities Indices – Learn about different stock indices and their importance
  • Derivatives Market
    • Introduction and Classification – Basics of derivatives, including forwards, futures, and options
    • Market Participants – Understand the roles of various traders in the derivatives market
  • Trading in Securities
    • Online Trading – A guide to online trading mechanisms, order types, and execution processes
    • Trading Strategies – Learn how to place, modify, and cancel orders effectively
  • Introduction to Mutual Funds
    • Evolution and Types – History and classification of mutual funds in India.
    • Advantages and Limitations – Pros and cons of investing in mutual funds
    • Latest Developments – Stay updated with the recent trends in the mutual funds industry
  • Investing in Mutual Funds
    • NAV and Loads – Understand Net Asset Value and various types of loads
    • Choosing Mutual Funds – Factors to consider when selecting mutual funds
    • Industry Overview – Comprehensive list of mutual funds in India and their websites

About the Author

Vanita Tripathi

Dr Vanita Tripathi was a Professor at the Department of Commerce, Delhi School of Economics, University of Delhi, and Deputy Dean at the University of Delhi. She was a double Gold Medalist in B.Com. (Hons.) and M.Com. and an alumnus of Shri Ram College of Commerce & Delhi School of Economics. She was also an M. Phil topper. She had more than 17 years of teaching and research experience in investment management.

She was also M. Phil. – Finance area coordinator. She was the recipient of the best business academic of the year (BBAY) award & gold medal in 2012 and the recipient of the prestigious Prof. Manubhai M. Shah Memorial Research Award. She had also got a gold medal in 2014 & ten best research paper awards at various international conferences. She was a MOOC Coordinator and Paper coordinator of Financial Management of M.Com. under the e-PG Pathshala project of UGC under the NMEICT initiative of Ministry of HRD, Govt. of India for developing e-content for postgraduate courses in India.

Neeti Panwar

Ms. Neeti Panwar, Assistant Professor, Department of Commerce, Maharaja Surajmal Institute, GGSIPU, Delhi, is an alumnus of Shri Ram College of Commerce and Delhi School of Economics, University of Delhi. She has been an All India topper in Economics in AISSCE and received scholarship from Ministry of H.R.D., Government of India for excellent academic performance. She has a teaching experience of two years including a stint at Indraprastha College for Women, University of Delhi. She has attended various seminars, conferences and Faculty Development Programmes and published research papers in national and international journals. Her areas of interest include corporate finance, security analysis and portfolio management, market efficiency, algorithm trading, etc.

 

Weight 0.435 kg
bookauthor

Neeti Panwar, Vanita Tripathi

binding

Paper back

edition

8th Edition 2024

hsn

49011010

isbn

9789357785754

language

English

publisher

Taxmann

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