Description
Please note that the description below is system-fetched and it may or may not accurately represent the actual contents of the book.
This comprehensive workbook aims to establish a common minimum knowledge benchmark for professionals registered as Research Analysts under SEBI (Research Analyst) Regulations, 2014, as well as individuals employed as research analysts and partners of research analyst firms. It provides a thorough grounding in the fundamental and practical aspects of analysing Equity and debt instruments, evaluating industry dynamics, understanding macroeconomic and microeconomic variables, and writing high-quality research reports. It is helpful for finance students, market enthusiasts, and anyone keen on enhancing their knowledge of equity and debt markets, honing analytical skills, and understanding the regulatory framework of the securities industry. The Present Publication is the September 2024 Workbook Version, developed in collaboration with the Certification Team of NISM and Mr Manish Bansal and reviewed by Mr Bihari Lal Deora, NISM's Resource Person. It is published exclusively by Taxmann, with the following noteworthy features: • [Understand Indian Securities Markets] Acquire foundational knowledge of market structures, terminologies, and participants in both equity and debt segments • [Apply Top-Down & Bottom-Up Approaches] Grasp how to integrate macroeconomic indicators with detailed company-specific insights for holistic fundamental research • [Conduct Micro & Macro-Economic Analysis] Master the interpretation of key economic variables—such as GDP growth, inflation, and interest rates—that shape broader investment scenarios • [Evaluate Industries & Companies] o Discover methods for analysing industry trends, cycles, and regulatory landscapes o Learn to assess a company's qualitative and quantitative aspects, including business models, competitive advantages, and financial statements • [Analyse Risk & Return] o Understand the basics of calculating various forms of returns (simple, annualised, and compounded) o Explore risk measurement tools like Beta and sensitivity analysis and understand the behavioural biases affect
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Posted: Mon, 09 Jun 2025
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