Risk analysis, insurance and retirement planning
Publication details: New Delhi Indian institute of banking & finance 2019Description: 212 pISBN:- 978-9386-394-64-4
- 332.672
Item type | Current library | Call number | Status | Date due | Barcode | Item holds | |
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Book | Main Library ON SHELF | 332.672/ IIBF/ 37041 (Browse shelf(Opens below)) | Available | 11137041 |
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332.645/Voh/Bag/15787 FUTURES AND OPTIONS | 332.645/Voh/Bag/15788 FUTURES AND OPTIONS | 332.66/ Man/ 30102 What happened to Goldman Sachs? : | 332.672/ IIBF/ 37041 Risk analysis, insurance and retirement planning | 332.6/KEE/ 16626 BUY AND HOLD IS DEAD: HOW TO MAKE MONEY AND CONTROL RISK IN ANY MARKET | 332.7/ VIJ/ 17000 BANK CREDIT MANAGEMENT: | 332.954/ TRI/ 17015 INDIAN FINANCIAL MARKET : THEORY AND PRACTICE |
This book is a dissertation on two aspects viz. Insurance products and Retirement Planning. One aspect focuses on fundamental principles, organisation structure, functions, regulation and legislation applicable to life/non-life insurance as practiced in India. The other aspect covers need for planning for retirement along with the various pension products available in the country.
This book is the course material provided by Indian Institute of Banking and Finance to the candidates appearing for the paper on “Risk Analysis, Insurance and Retirement Planning” under the ”Advanced Wealth Management” examination.
All keen learners of finance and financial services shall find this revised edition of the book valuable.
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