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6 x 9 x 0.5 inch, 264, Shroff Publishers & Distrbutors Pvt. Ltd., 2018, Usually ships in 1-2 days, N, Paperback, New, First, Joydeep Sen
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Minimum quantity for "Wealth Management : A Guide for Affluent and Middle Income Classes" is 1.

Rs.425.00
No, 2014, Shroff Publishers & Distributors Pvt. Ltd, Fifth, India, Paperback, New, Rajwade
The globalization and liberalization of the Indian economy since 1991 has led to an exponential rise in the currency exposures of Indian businesses. Increasing exchange rate volatility has made Indian business entities more vulnerable to the risks arising out of not only revenue and capital account transactions but also economic exposures, which often arise without direct foreign currency dealings. In such circumstances, it has become vital for nance managers to understand the functioning of currency markets. With banks o ering various hedging instruments to manage the risk, it is equally important to understand when and how to use these instruments, especially complex, structured derivative products.

The book provides a comprehensive understanding of the functioning of the forex markets, the risks and objectives pertinent to forex exposures, the derivative instruments available for hedging, as well as an insight into  some of the disputes between banks and their counterparties in relation to mis-selling of derivatives as hedging alternatives.

Apart from covering the risk management issues, the book touches upon the relevant accounting and regulatory aspects in the treatment of forex derivatives.

The book has the following sections:
Section I: Foreign Exchange Market
Section II: Cross Border Finance
Section III: Derivatives
Section IV: Risk Management and Accounting
The book would be found especially valuable by Finance/Treasury professionals in banks, companies and auditors. It is also a useful primer for managers in other functional areas like purchase, sales, commercial, etc. who are involved in foreign exchange transactions.

About the Authors
Mr. A. V. Rajwade,
Chairman of A.V.Rajwade & Co. Pvt. Ltd., is widely regarded as a pioneer in the eld of foreign exchange and interest rate risk management in the Indian nancial markets. He is highly  respected as a consultant, columnist and author of books on the subject of treasury risk management. Mr. Rajwade has been a member of various committees appointed by the Reserve Bank of India including the committees on Forex Markets and Capital Account Convertibility. In his career he has conducted over 300 training programs on risk management and related topics for corporate/bank executives. He was a visiting faculty at IIM, Ahmedabad. He has also acted as an expert witness in disputes involving complex derivatives, being arbitrated in London and Switzerland.

Mr. H. G. Desai is a risk management expert. A rank holder Chartered Accountant, he has been with the company since its inception in 1981. As a currency and risk management advisor, he is well-known in the corporate world. He advises and undertakes assignments for a number of corporates in India. He has written columns on forex markets for Business Standard and Deccan Herald. He too has conducted over 400 training programs on risk management, use of derivatives and accounting standards. Besides, he is a visiting faculty at several management institutes, including Indian Institute of Management, Indore.

Expert’s View
This is a terri c book and Mr Rajwade in his unique style has covered the entire spectrum from currency, ,interest rates to global nance and currency trading. The book is very useful as it gives step by step guidance for actual situations like Syndication of Foreign Currency loans. The book is a one stop shop on the subject for all-students, academics, professionals and of course Bankers. It is indeed a treatise on the subject
Mr. Pratip Chaudhuri Former Chairman, State Bank of India.
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Rs.850.00
No, 2015, Shroff Publishers & Distributors Pvt. Ltd, Second, India, Paperback, New, Sen
There are various books that tell you what is a Mutual Fund, but none that guides you on how to make the investments, and none that specializes on fixed income (also known as debt). Practically, Mutual Fund is the only vehicle through which investors can participate in the fixed income market. This book handholds you on the relevant concepts and parameters for investing in fixed income oriented Mutual Fund Schemes.

The language used is lucid and is written with the investor in mind. The contents and explanations cover both the academic and practical aspects. Must read for practicing professionals, investors and academicians.

What They Say . .

The contents and explanations straddle seamlessly between academic and practical, with equal appeal to the academician and the practitioner.
N S Venkatesh, Head - Treasury, IDBI Bank

This book fills the void for a practical guide on fixed income mutual fund investments in India. Must read for investors as well as finance professionals.
Manoj Rane, Vice Chairman - FIMMDA

This book is an attempt to bridge the gap in understanding of Mutual Funds and its extension to the debt markets. At this time when Indian economy is privatizing, fixed income instruments are likely to play a key role in making it serve the economic purpose of distributing wealth to be created by the private sector. The author has made a balanced approach of introducing mutual funds and their fixed income underlying besides arming the readers on how to examine the underlying to know the health of the overlying. A must read for retail and corporate investors and their advisors to help them understand risks and to make right decisions.
V Shunmugam, Chief Economist - MCX-SX

About the Author
Joydeep Sen has been working in the financial services sector for more than two decades now, in various research and managerial positions. He is an expert in fixed income markets and fixed-income oriented mutual fund investments.

He regularly contributes various articles in several financial newspapers and magazines. Furthermore, his views as an expert in the said domain are sought by various media agencies and publications.
 
He is an author of the book “Fixed Income Markets in India - Investment Opportunities for  You” which has been well received by financial practitioners, investors and students. This book is in response to requirements from readers of the first book and to fulfill the lack of a guide on fixed income oriented mutual fund investments. Joydeep is a Certified Financial PlannerCM (CFPCM) Certificant. He did his MBA in finance from Jadavpur University, Kolkata, in 1992. Since 2011, he has been an active member of the Knowledge Management Committee of Financial Planning Standards Board India (FPSB lndia), a premier
body promoting Financial Planning in India.
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Rs.550.00
No, 2013, Shroff Publishers and Distributors Pvt. Ltd., First, India, Paperback, New, Sen

There are various fixed income investment avenues in India. However, there is lack of awareness about the relevant concepts and the nuances of the investment avenues. There is dearth of a proper book that explains the relevant concepts applicable in fixed income investments and how the market functions. This book covers the concepts and goes a step further:it is a one-stop shop for someone who wants to know about the debt market in India.

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Rs.900.00
2011, Shroff/Bizle, 1, New, Paperback, Essvale Corporation Ltd.
“The Revolution has Begun” A revolution is a foot in the IT industry; there is no denying the fact. IT professionals that are forward-thinking are...
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Rs.500.00
2011, Shroff/Bizle, 1, New, Paperback, Essvale Corporation Ltd.
Provides the necessary business knowledge for IT professionals, who work in the global investment banking industry.The chapters in the book containan...
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Rs.575.00
2012, Shroff/Bizle, 1, New, Paperback, Essvale Corporation Ltd.
“Road Map to Greatness” This is another title in the Career Guidebooks Series that are definitiveguides for a career in IT across industry sectors. This...
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Rs.175.00
2012, Shroff/Bizle, 1, New, Paperback, Essvale Corporation Ltd.
“Road Map to Greatness’” This is the maiden edition of our Career Guidebooks that are definitive guidesfor a career in IT across industry sectors. This...
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Rs.200.00
2012, Shroff/Bizle, 1, New, Paperback, Essvale Corporation Ltd.
“Road Map to Greatness” This is another title in the Career Guidebooks Series that are definitiveguides for a career in IT across industry sectors. This...
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Rs.275.00
1 - 2 Days, 1128, 2012, Shroff Publishers and Distributors Pvt. Ltd., 15 - 20 Days, No, Paperback, New, India, Fifth, Sridhar

About the Book

  • Contains solutions to 900+ problems and 200+ Advanced Problems of various topics of Financial management.
  • Contains solved problems of final level syllabus in financial management of most professional courses.
  • An ideal book of practice to almost all students pursuing and professional course having financial management as one of the subjects.
  • Indispensable book for final level students of CA, CS, ICWA and MBA
  • Contains several solved problems of various professional examinations.
  • Include solutions to exercise problems of Strategic Financial Management (9th Edition) written by the same author.
  • A treasure in any library.
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Rs.950.00
No, 2013, Shroff Publishers & Distributors Pvt. Ltd, First, India, Paperback, New, Dr. Bhatt
This book is aimed at an emerging segment of investors who either have or will spent considerable time in choosing and selecting stocks for investment. It is the new cult of investors who are well informed and are conscious about their investment decisions. It also tries to answer few questions about how and why a market would be behaving in a particular fashion. The central issue in behavioral finance is explaining why market participants make systematic errors. Such errors affect prices and returns, creating market inefficiencies. It also investigates how other participants arbitrage such market inefficiencies. Value investing has proven to be a successful investment strategy. In terms of picking stocks, value investing suggests defensive investment in stocks trading below their tangible book value as a safeguard to adverse future developments often encountered in the stock market. Behavioral Finance and Value Investing are two sides of same coin. Both these aspect including multiple example are explained by author in this book of Behavioral Finance and Value Investing.

About the Author
Prof. Dr. Suyash Bhatt
is a Professor at Prin. Welingkar Institute of Management Development and Research popularly known as WESchool. He is one of the first to have done PhD in Business Management on Mutual Fund Performance Analytics. He has rich experience of ten years in corporate as well as academia. Internationally he has been to University of Sussex, Brighton in United Kingdom, University of Kwazulu – Natal, Durban South Africa and Taylor University Malaysia in research and academic activities. He has conducted training sessions on Behavioral Finance for Reliance Capital Asset Management Company Ltd. He has conducted training programs Derivatives Modeling, Finance for Non-Finance Managers and on Technical Analysis for companies like DSP Merrill Lynch, SSKI and many others. He has addressed investors query at investor forum held at Mumbai, occasionally by CNBC TV18 for answering trading calls for viewers. He is awe-inspiring orator with good elucidation of topics like capital market, investments and behavioral finance.
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Rs.250.00
No, 2013, Shroff Publishers & Distributors Pvt. Ltd, First, India, Paperback, New, Arora
Each unit starts with Learning objectives and the structure where in all the contents of the chapter have been specified in a planned manner to help the reader have an overview of the entire chapter in advance; and subsequently guiding him/her in grasping the chapter contents systematically, without confusing one aspect of discussion with others.

At the end of each unit summery is given which contains major points discussed in chapter in a planned manner to enable the reader towards quick revision for examination purpose.

This elaborate book is suitable for graduate and post graduate students of commerce and business administration.

About the Author
Mukul Arora is a B Com (Hons) graduate from Delhi University. He is Members of Institute of Chartered Accountants of India since 2001.

Mukul Arora’s academic inclination include Accounting, Financial Management & Information Technology. He has a vast industrial experience in field of Statutory compliances, Corporate Accounting,
Taxation & Financial Planning & Management.

Beside coverage of Industrial background he has been involved in various administrative & advisory role. His has further contributed in various publications & columns that have appeared in various journals.

Richa Arora is Assistant professor at Symbiosis Centre for Management Studies-Pune and was also associated with Indraprastha University Delhi. Her research areas include International Finance, Marketing, Marketing Research and Consumer behavior. She has around 8 years of teaching experience in various undergraduate and post graduate courses in commerce and Management. A prolific writer, she has three books and over 20 articles and research papers in various journals.
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Rs.400.00