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This book is a simple and concise text on the subject of security analysis and portfolio management. The book contains real empirical evidence and examples in terms of returns, risk and price multiples from the Indian equity markets (over the past two decades) that are a result of the analysis undertaken by the authors themselves.
Focusing on the quality of risk disclosures and risk governance structures, and using sophisticated methodology to tackle the issue of endogeneity, the book explores the important yet uncharted confluence of accounting information, risk and corporate governance.
Based on a data set covering the last two decades of India's development, this study analyzes the financial performance of public sector enterprises, assessing their success in adapting to a liberalized business environment of disinvestment and subsidy cuts.
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Ved tilmelding accepterer du vores persondatapolitik.