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Profitable Investing

by Azhar Ul Haque Sario
Sold out
Current price ₹1,679.00
Original price ₹2,260.00
Original price ₹2,260.00
Original price ₹2,260.00
(-26%)
₹1,679.00
Current price ₹1,679.00

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Book cover type: Paperback
  • ISBN13: 9783384437471
  • Binding: Paperback
  • Subject: N/A
  • Publisher: Azhar Sario Dubai
  • Publisher Imprint: Azhar Sario Dubai
  • Publication Date:
  • Pages: 258
  • Original Price: GBP 18.99
  • Language: English
  • Edition: N/A
  • Item Weight: 381 grams
  • BISAC Subject(s): Investments & Securities / Analysis & Trading Strategies and Investments & Securities / Portfolio Management

"Profitable Investing: Capital Market Evaluation" is a thorough guide that lays bare the intricate world of financial investment vehicles. This book is packed with in-depth analysis of various capital market instruments, their benefits, risks, and practical applications. It is designed to equip both novice and experienced investors with the knowledge and tools necessary to navigate the complex landscape of capital markets.

This book provides a detailed analysis of 25 capital market instruments. The book begins with familiar instruments like stocks, bonds, and mutual funds, explaining in detail their functioning, potential returns, and associated risks. It also delves into the nuances of preferred stocks, commercial papers, and exchange-traded funds, providing readers with a broader understanding of these less popular but equally potent investment tools.

As the book progresses, it ventures into more complex and specialized instruments such as convertible bonds, treasury bills, and mortgage-backed securities. Corporate bonds, government bonds, and municipal bonds are also covered extensively, along with an enlightening discussion on Eurobonds.

In addition to these, the book also explores asset-backed securities, equity shares, and debentures. It further delves into more niche investment avenues like real estate investment trusts (REITs), certificates of deposit, and structured notes.

The book also offers a comprehensive view of collateralized debt obligations, foreign exchange currency contracts, and index funds. It rounds off with a detailed discussion on fixed deposit receipts, infrastructure bonds, and zero-coupon bonds.

Each chapter contains a applications, and case study, offering real-world scenarios that lend practical insights into the theoretical aspects discussed. This makes the book not just a theoretical guide but also a practical handbook for making informed investment decisions.

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