How to analyse a company? How to minimize risk?
After the success of his first book, Financial Blogger and investor Vikrant Chaudhari returns with a new, improved and a deeper book to provide amazing insights into the Indian Stock Market.
1.How to analyse a stock?
2.When should you buy a stock? (Valuation)
3.When should you sell a stock? (Exit Strategies)
4. How to minimise risk? (Diversification)
5. How to read Financial Statements and Annual Reports.
This book will cover everything, from Fundamental Analysis to Valuation using DCF and Risk Management. This book covers it all through illustrative examples and Case Studies.
Binding: Paperback (Perfect Binding)
Availability: In Stock (Print on Demand)
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