This document provides details of an MBA assignment related to security analysis and portfolio management. It includes 6 questions asking to define key terms, explain concepts like the investment process, primary markets, technical indicators, the assumptions of the Markowitz and CAPM models, and the structure and types of mutual funds. Students are instructed to answer each question in 300-400 words for a total of 60 marks. They are provided contact information to get solved assignments for Rs. 125 each.