inventory valuation; such changes would increase or decrease the value of ending inventory‚ cost of sales‚ gross margin‚ and net income or loss. All changes disclosed should indicate the dollar effects such disclosures have on financial statements. Ask investors what kind of financial information they want companies to publish and you ’ll probably hear two words: more and better. Quality financial reports allow for effective‚ informative fundamental analysis. The word "transparent" can be used to describe
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Selection" which appeared in the 1952 Journal of Finance. Thirty-eight years later‚ he shared a Nobel Prize with Merton Miller and William Sharpe for what has become a broad theory for portfolio selection. Portfolio theory explores how risk adverse investors construct portfolios in order to optimize expected returns for a given level of market risk. The theory quantifies the benefits of diversification. Out of a universe of risky assets‚ an efficient frontier of optimal portfolios can be constructed
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wealth delivered to high-net-worth investors. Generally this includes advice on the use of various estate planning vehicles‚ business-succession or stock-option planning‚ and the occasional use of hedging derivatives for large blocks of stock. Traditionally‚ the wealthiest retail clients of investment firms demanded a greater level of service‚ product offering and sales personnel than that received by average clients. With an increase in the number of affluent investors in recent years‚[5] there has
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CAPITAL MARKET A CASE STUDY ON MUTUAL FUNDS NAME: ADITYA SURANA CLASS: B.COM (HONOURS)3rd YEAR ACCOUNTS AND FINANCE. COLLEGE ROLL NO : 183 C.U.REGISTRATION NO. : 235-1121-011-311 ANNEXURE-1 SUPERVISOR’S CERTIFICATE This is to certify that Mr. ADITYA SURANA‚ a student of B.com Honours in Accounting & Finance of TARA DEVI HARAKHCHAND KANKARIA COLLEGE under the university of Calcutta‚ has worked under my supervision and guidance for his/her Project work and prepared
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future of each organisation. A company’s financing decisions may be further subdivided into two categories: finance from internal capital (capital raised from the company’s earnings)‚ and finance from external capital which is obtained from external investors in a wide variety of ways. Since it is often not feasible for companies to finance their activities purely from internal sources as these do not allow the transfer of finance over time‚ they often choose external public for its higher flexibility
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Finance 400- International Finance Foreign markets can be very attractive to investors because indexes in various countries around the world have managed a double or triple digit return on investments. Investors realize these high returns and pursue to invest in foreign markets. There are different ways to invest in foreign markets. There are three main ways to invest in foreign markets‚ Exchange traded funds (ETF) or mutual funds‚ American Depositary Receipts (ADR)‚ and through multinational
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ASSIGNMENT on IPO PROCESS OF BANGLADESH Course Title: Financial Institution and Market Course Code: FIN 335 Submitted to Md Lutfur Rahman Assistant Professor East West University Date of Submission- August 1‚ 2012 Submitted by Subha Sayeed 2010-1-10-082 Md. Shazzad Hossain 2010-1-10-183 (Sec-3) Sharmin Sultana 2008-3-30-047 Sazzad Khan Mahmud 2009-2-10-107(Sec-3) LETTER OF TRANSMITTAL August 1‚ 2012‚ Md. Lutfur Rahman Assistant Professor East West University
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people working in SBI MF‚ Mumbai for their direct or indirect support and making this a great learning experience for me. Executive Summary A mutual fund is a professionally managed type of collective investment that pools money from many investors to buy stocks‚ bonds‚ short-term money market instruments‚ and/or other securities. The origin of mutual fund industry in India is with the introduction of the concept of mutual fund by UTI in the year 1963. Though the
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issued 10 years ago‚ and it has 10 years to maturity. b. Bond B which is thinly traded and no valid market quotation is available; it has 23 years to maturity more. 2. Preferred stock 3. Equity Stock and retained earning. Question 1: If an investor bought some of SDI’s A bonds at the current market price‚ what would be his/her yield to maturity? Look at the case concerns‚ bond A has a $1000 par value and coupon rate is 10%‚ pail semiannually. The bond was issued 10 years ago‚ and has 10 years
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supplier of funds expects and a demander of funds must pay. Usually the term interest rate is applied to debt instruments such as bank loans or bonds‚ and the term required return is applied to equity investments‚ such as common stock‚ that give the investor an ownership stake in the issuer. In fact‚ the meaning of these two terms is quite similar because‚ in both cases‚ the supplier is compensated for providing funds to the demander. A variety of factors can influence the equilibrium interest rate
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