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Posted Date: 10 May 2020      Posted By:: Jannane.M    Member Level: Silver  Points: 3 (₹ 2)

2018 Bharathidasan University M.Com Commerce Bharthidhasan University, Investment Management,M.com, Fourth semester,April 2018. Question paper



Course: M.Com Commerce   University/board: Bharathidasan University

Are you looking for the old question papers of Bharthidhasan University of M.com Investment Management paper. Here is the previous year question paper from Bharthidhasan University. This is the original question paper from M.com Investment Management, Fourth semester exam conducted in April 2018. Feel free to download the question paper from here and use it to prepare for your upcoming exams.



(For candidates admitted from 2016-2017 onwards)

M.com .DEGREE EXAMINATION, APRIL 2018.
Commerce - Major

INVESTMENT MANAGEMENT

Time : Three hours Maximum : 75 marks

SECTION A - (10×2=20)
Answer ALL questions
1. What is investment?

2. What is investment media?

3. What is Primary market?

4. What is Online trading?

5. Write a short note on Efficient Market Theory.

6. What is Annuity?

7. What is portfolio analysis?

8. Define Diversification.

9. What is mutual funds?

10. What is SEBI?

SECTION B -(5×5=25)

Answer ALL questions,either choosing (a) or (b)

11.(a) What are the objectives of investment?

Or

(b) Explain the essential features of an investment Programme.

12.(a) Who are the players of secondary market? Briefly describe their roles.

Or

(b) Explain the role of new issue market.

13.(a) Define and discuss the semi - strong efficient market hypothesis.

Or

(b) Differentiate between technical and fundamental analysis.

14.(a) Explain the capital assets pricing model.

Or

(b) Discuss traditional and modern portfolio analysis.

15.(a) What are the objectives of UTI?

Or

(b) Discuss the functions of SEBI.

SECTION C -(3×10=30)

16. Describe the sources of investment information.

17. What is stock exchange? Discuss its role and functions.

18. Critically examine Dow theory .Point out its assumptions.

19. Explain the assumptions under Markowitz theory.

20. Bring out the features of different types of mutual funds.





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