Curriculum
- 1 Section
- 19 Lessons
- 204 Weeks
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- Investment Factors and Stock Return19
- 2.1Class Materials
- 2.6Introduction5 Minutes
- 2.7Intrinsic Value3 Minutes
- 2.8PE Ratio (Part 1)18 Minutes
- 2.9PE Ratio (Part 2)20 Minutes
- 2.10PB Ratio15 Minutes
- 2.11Dividend Yield19 Minutes
- 2.12PEG Ratio13 Minutes
- 2.13Graham Number3 Minutes
- 2.14Shareholding Pattern and Firm Performance7 Minutes
- 2.15Volatility of Liquidity & Marginal Securities9 Minutes
- 2.16Mutual Fund’s Stock Picking and Stock Return5 Minutes
- 2.17Share Category Change and Insider Trading14 Minutes
- 2.18Disclosure Behavior of Firm and Expected Return9 Minutes
- 2.19Trade Volume and Stock Price15 Minutes
- 2.20Regulatory Change (BSEC, BB, IDRA, NBR) and Stock Price14 Minutes
- 2.21Interest Rate, Free Float Share & Monentum Strategy10 Minutes
- 2.22Stock Selection Criteria23 Minutes
- 2.23Conclusion2 Minutes
Introduction
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