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Portfolio Management of CNX Midcap Companies
« on: November 15, 2011, 03:34:59 PM »
Project Title: - "Portfolio Management of CNX Midcap Companies"

Index
Chapter Particulars
1 Introduction Of Kotak Securities Ltd.
2 Methodology of Project
? Problem Identification
? Objective of Study
? Research Design and data collection method
? Data collection method
? Source of data & Sampling
? Analysis Techniques
3 Introduction to Portfolio Management Services
4 Analysis and Findings
a) Optimum Portfolio Preparation
? Risk & Return on Portfolio Markowitz Model
? Risk & Return on Portfolio Sharpe Single Index Module
b) Fundamental Analysis and Target Price
? Economy Analysis
? Industry Analysis
? Company Analysis and target price
C) Technical Analysis and Target Price
5 Limitations
6 Suggestions
7 Conclusion
8 Bibliography
9 Annexure

[hide:syvkdviq]http://http://www.mediafire.com/file/nzy5mungztl/Ankit%20Winter%20Project%20Report.pdf[/hide:syvkdviq]
« Last Edit: January 01, 1970, 05:30:00 AM by Guest »

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Portfolio Management of CNX Midcap Companies
« on: November 15, 2011, 03:34:59 PM »

 
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