The Present Publication is the 1st Edition for the Dec. 2025/June 2026 Exams.
The book covers the entire CMA Final (Group III – Paper 14) syllabus as per Syllabus 2022, systematically divided into seventeen modules, including:
- Investment Decisions, Project Planning & Control
- Evaluation of Risky Proposals for Investment Decisions
- Leasing Decisions
- Securitisation
- Security Analysis and Portfolio Management
- Equity and Bond Valuation, Performance Evaluation
- Mutual Funds
- Portfolio Theory and Practice
- Asset Pricing Theories
- Portfolio Performance Evaluation and Revision
- Efficient Market Hypothesis
- Risks in Financial Markets
- Financial Derivatives—Instruments for Risk Management
- The International Financial Environment
- Foreign Exchange Market
- Foreign Exchange Risk Management
- Digital Finance
- Each module features:
- Module-wise marks distribution and trend analysis
- Complete mapping with CMA Study Material
- Step-wise answers in a Q&A format
The structure of the book is as follows:
- Modular Layout – Chapters are meticulously arranged as per the latest CMA syllabus, ensuring precise and complete coverage
- Introductory Tabular Summaries – Each chapter opens with a summary table for instant concept recall
- Trend Analysis & Exam Pattern Mapping – Includes year-wise, module-wise, and chapter-wise trend charts for the 2023–2025 exams
- Question & Answer Format – All answers are written in a structured, examiner-friendly manner for easy comprehension
- Comparison Tables – Each module includes a direct comparison with the corresponding CMA study material, ensuring 100% syllabus coverage