Regulatory framework; Content, Structure and Format of Financial Statements; Accounting for groups and consolidated statements; Directors' Responsibilities; Ratio Analysis of Financial Statements; Analysis and interpretation of Accounts for the purpose of investment and share valuation.
Risk-return and Asset Pricing Models -Single and Multi factor models; Portfolio Theory; Asset Allocation; Security Analysis - Share valuation, Fundamental analysis, Technical analysis, Efficient Market Hypothesis; Performance Evaluation; International Portfolio Management, Bond Portfolio Management, Ethics in Investment.
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Administrative assistant: TASLIMA BOODHUN-JHUMKA
Telephone: 4037400
Email: t.boodhun@uom.ac.mu |