Description
Taxmann Investing in Stock Markets 9th Edition 2025 by Vanita Tripathi, Neeti Panwar
Investing in Stock Markets is a comprehensive, authentic, and well-illustrated text designed to guide readers—from beginners to intermediate learners—through the nuances of stock market investments. Aligned with the National Education Policy (NEP), this Edition covers foundational concepts, advanced analytical tools, and practical applications. Its simple, lucid presentation simplifies the complexities of the financial markets, empowering readers with theoretical knowledge and practical skills.
This book is intended for the following audience:
Undergraduate Students – Specifically designed for students pursuing B.Com. (Hons.), B.Com. (Prog.), and other commerce-related degrees, including those under the University of Delhi (Regular, NCWEB, and SOL) and various other Central Universities across India
Educators and Instructors – Ideal for faculty members looking for a structured, outcome-based textbook aligned with the latest curriculum under NEP guidelines
Aspiring Investors and Enthusiasts – The clear exposition, illustrations, and project-based approach also benefit self-learners and professionals keen on understanding stock markets for personal or career growth
The Present Publication is the 9th Edition, authored by Prof. (Dr) Vanita Tripathi & Neeti Panwar. This Edition has been thoroughly revised, incorporating updated data, recent facts, and additional technical analysis tools. The noteworthy features of the book are as follows:
[Lucid Presentation] Concepts, procedures, and techniques are explained in simple language, ensuring ease of understanding
[Learning Outcomes] Each chapter opens with a list of clear objectives, guiding readers on the key takeaways
[Structured Numbering] Chapters are segmented into numbered paragraphs for quick reference and ease of navigation
[Illustrations & Figures] Multiple charts, diagrams, and examples help clarify complex financial concepts
[Summaries & Recapitulation] Each chapter closes with concise summary points, aiding quick revision
[Hands-on Project Work] Assignments and project work transform theoretical knowledge into practical investment decision-making skills
[Updated Content] The 9th Edition incorporates the latest trends and developments in Indian and global stock markets, including new technical indicators and the newest stock exchange (MSEI)
[Alignment with NEP] This Edition is purposefully aligned with the National Education Policy, focusing on experiential and outcome-based learning
[Examination Repository] Inclusion of recent university question papers equips students to tackle exams confidently and understand the latest question trends
The coverage of the book is as follows:
Basics of Investment
Fundamental definitions, factors influencing investment decisions, and introduction to various securities
Risk & Return
Detailed exposition on measuring risk and return, systematic vs. unsystematic risk, and the impact of taxes and inflation
Fundamental Analysis
Company and industry analysis using the EIC (Economy-Industry-Company) framework, valuation models, and shareholding patterns
Technical Analysis
Core trading rules (e.g., MACD, credit balance theory, filter rules), charting techniques, and do's & don'ts for investors
Indian Securities Market
Primary and secondary markets, regulatory framework by SEBI, and the evolution of Indian stock markets
Stock Exchanges
Role, functions, and operations of BSE, NSE, MSEI, and MCX, alongside indices like Sensex and Nifty
Derivatives Market
Introduction to forwards, futures, options, pay-off diagrams, and the significance of hedging tools in modern finance
Trading in Securities
Online trading mechanisms, types of orders, order conditions, product types, and the clearing process
Introduction to Mutual Funds
Definition, types (open-ended, close-ended, index funds, etc.), advantages, limitations, and recent developments
Investing in Mutual Funds
NAV computation, loads, factors affecting fund selection, AMFI, CRISIL rankings, and practical application
In addition, Previous University Examination Question Papers are included for quick reference and to familiarise students with exam patterns
The structure of the book is as follows:
Chapter-wise Layout – Ten chapters, each beginning with learning outcomes and ending with summaries, test-yourself exercises, theory questions, and project work
Step-by-step Progression – The text starts from foundational ideas (like the definition of investment) and progressively advances to more complex tools (such as derivatives and technical charting)
Project-based Learning – Nearly every chapter contains practical project work that encourages students to apply concepts—like analysing stock returns, constructing portfolios, or evaluating mutual funds
Assessment Tools – Every chapter offers multiple forms of self-evaluation:
Test Yourself – Quick quizzes and reflection questions to gauge understanding
Theory Questions – In-depth theoretical queries for class assignments or self-study
Numerical Problems – Practical problems that reinforce quantitative skills in computing returns, risks, and valuations