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    ___________________________ //MODULE GUIDE //B-FH304 // GRADUATE PORTFOLIO: GRADUATE COLLECTION Academic year 2012/13 // Semester 2 //FASHION DESIGN AND TEXTILES //Faculty of Design // LASALLE College of the Arts //LEVEL3 INDEPENDENT CREATIVE PRACTICE GEARED TOWARD THE INDUSTRY. You are expected to negotiate and realise your own creative project and produce innovative solutions for specific markets. //MODULE DESCRIPTION // B-FH304 GRADUATE PORTFOLIO: GRADUATE COLLECTION CREDITS: 40 Status: Compulsory

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    Portfolio Performance: Naïve vs. Optimized Using historical return data from January 1994 to August 2009‚ we calculated the performance of a portfolio of securities employing two models: naïve diversification‚ and optimized diversification. The portfolio consisted of 11 carefully selected and diverse domestic and international securities (see exhibit 1)‚ and we assumed no change in the allocations throughout the entire period measured for both the naïve and optimized models. Each model generated

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    function (y=12x‚ in our case) and plug in points for the x variable to find what the y would be‚ which you can later graph. If we made a table using our current function‚ this is what it would look like this: F(x) Y 1 12 2 24 3 36 4 48 Once again‚ you can also flip this the other way and originally have the table above and the points in it‚ and then using that information make the linear function by finding the constant rate of change‚ or the slope‚ which in this

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    PROJECT ON SECURITY ANALYSIS & PORTFOLIO MANAGEMENT A STUDY ON SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT INTRODUCTION: Traditional    security    analysis   emphasis    the   projection   of   prices   and   dividends   accordingly the potential price the firms common stock and the future   dividend seem were   to   be   forecast   and   the discount allowed 10%. The traditional views    are   on   the   intensive   and current market price   of    security if the current market price

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    Saphara Jajey Mr. Vaughan U.S History 19 December 2014 In the 1920 ’s women ’s roles were soon starting to change. After World War One it was called the "Jazz Age"‚ known for new music and dancing styles. Both single and married women we earning higher- paying jobs. Women were much more than just staying home with their kids and doing house work. They become independent both financially and literally. Women also earned the right to vote in 1920 after the Nineteenth Amendment was adopted. They

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    England Country literary background England  is a country that is part of the United Kingdom. It shares land borders with Scotland to the north and Wales to the west. The Irish Sea lies north west of England‚ whilst the Celtic Sea lies to the south west. The North Sea to the east and the English Channel to the south separate it from continental Europe. Most of England comprises the central and southern part of the island of Great Britain which lies in the North Atlantic. The country also includes over

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    Prioritizing IT Project Management Portfolio Prioritizing IT Project Management Portfolio The realities of shrinking IT budgets and increasing dependence on IT in organizations in recent years has resulted in a situation in which there is an intense competition for resources needed to execute and complete IT projects. According to Ross (2007)‚ the shrinking IT budget in the face of increasing demand has brought new pressures to the IT function. To gain approval and funding for projects‚ IT departments

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    8. Which one of the following best describes a portfolio?  A. Risky security B. Security equally as risky as the overall market C. New issue of stock D. Group of assets held by an investor E. Investment in a risk-free security 15. Which one of the following is the slope of the security market line?  A. Risk-free rate B. Market risk premium C. Beta coefficient D. Risk premium on an individual asset E. Market rate of return 21. Standard deviation measures _____ risk while beta measures _____ risk. 

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    Suggested Answers to Previous Semesters Exam Questions Question 4 (Semester 2‚ 2005) 96633337 Juan (a) Expected Portfolio Return and Risk Expected Return Risk Covariance = (0.002)(0.06)(0.09)=0.0000108 (b) Minimum Variance (Pendix Ltd) The minimum variance for this portfolio is 0.693‚ indicating that risk is minimized when 69.3 percent of the portfolio is invested in Pendix’s shares. A rational investor would not allow Pendix’s shares to

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    Portfolio management Portfolio management is the professional management of various securities (shares‚ bonds and other securities) and assets (e.g.‚ real estate) in order to meet specified investment goals for the benefit of the investors. Investors may be institutions (insurance companies‚ pension funds‚ corporations‚ charities‚ educational establishments etc.) or private investors (both directly via investment contracts and more commonly via collective investment schemes e.g. mutual funds or exchange-traded

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