Syllabus Of AM-

1. Introduction to Asset Management:

  • Definition and importance of asset management.
  • Historical perspective and evolution of asset management.

2. Financial Markets and Instruments:

  • Overview of financial markets (stock markets, bond markets, derivatives markets, etc.).
  • Types of financial instruments (stocks, bonds, options, futures, etc.).
  • Market participants and their roles.

3. Risk and Return:

  • Understanding risk and return trade-offs.
  • Measures of risk (standard deviation, beta, etc.).
  • Portfolio theory and diversification.

4. Asset Allocation:

  • Asset allocation strategies and approaches.
  • Modern portfolio theory and efficient frontier.
  • Asset allocation based on investor’s risk tolerance and objectives.

5. Security Analysis:

  • Fundamental analysis.
  • Technical analysis.
  • Quantitative analysis.

6. Portfolio Management:

  • Active vs. passive portfolio management.
  • Strategies for portfolio construction and optimization.
  • Rebalancing and monitoring portfolios.

7. Investment Strategies:

  • Value investing.
  • Growth investing.
  • Income investing.
  • Alternative investments (real estate, private equity, hedge funds, etc.).

8. Investment Management Styles:

  • Active management.
  • Passive management (index funds and ETFs).
  • Factor-based investing.

9. Performance Evaluation and Measurement:

  • Risk-adjusted performance measures (Sharpe ratio, Treynor ratio, etc.).
  • Benchmarking and tracking error.
  • Performance attribution.

10. Behavioral Finance:

  • Behavioral biases affecting investment decisions.
  • Implications for asset management.

11. Regulatory and Ethical Considerations:

  • Legal and regulatory aspects of asset management.
  • Ethical considerations and fiduciary responsibilities.

12. Investment Strategies and Asset Classes:

  • Equity investments.
  • Fixed-income investments.
  • Alternative investments.

13. Portfolio Risk Management:

  • Hedging strategies.
  • Derivatives for risk management.

14. International Asset Management:

  • Global asset allocation.
  • Currency risk management.

15. Investment Case Studies:

  • Analysis of real-world investment scenarios and case studies.

16. Current Trends in Asset Management:

  • Environmental, Social, and Governance (ESG) investing.
  • Quantitative finance and algorithmic trading.
  • FinTech innovations in asset management.