Solutions to Exam 1 1. (Chapter 1‚ slides‚ Q3) Suppose there are two investments.The expected returns from the investments are 10% and 15%‚ the standard deviation of the returns are 16% and 24%‚ and the correlation between returns is 0.2.Let w1 be the proportion of wealth put into the first investment. (a). Calculate the expected return and the standard deviation for portfolio w1=0‚0.2‚0.4‚0.6. (b). Draw a picture of these risk and returns for w1. (c). What is it called? (d). Draw the picture of
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International Business Research; Vol. 5‚ No. 8; 2012 ISSN 1913-9004 E-ISSN 1913-9012 Published by Canadian Center of Science and Education A Model for Evaluating Financial Performance of Companies by Data Envelopment Analysis A Case Study of 36 Corporations Affiliated with a Private Organization Reza Tehrani1‚ Mohammad Reza Mehragan1 & Mohammad Reza Golkani1 1 School of Management‚ University of Tehran‚ Tehran‚ Iran Correspondence: Mohammad Reza Golkani‚ School of Management‚ University
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7 Mutual Funds 7 Parties Involved in Mutual Fund Dealings 8 The Indian Mutual Fund Industry 9 ICICI Prudential Asset Management Company Limited 13 SWOT Listing of ICICI Prudential AMC 14 Distribution Channels in the Mutual fund industry 15 Independent Financial Advisers (IFAs) 15 Institutional Channels 15 Internet 16 Roles and Challenges in the IFA Channel 17 Regulatory Changes in the Industry 17 Impact on the IFA Channel 18 IFA Regulating/Assisting Bodies 21 Mutual Fund
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employees A study on Effectiveness of Quality Initiativeness among the employees. A study on Safety ‚ Welfare and Health among the employees. A study on Training and Recreation programmes among the employees. A study on the investor behavior towards the mutual funds investments. A study on Induction Training Program among the employees. A study on Quality of Work Life among the employees. A study on potentiality of Auto and Engineering companies. A study on Customer Financial Need Analysis. A study on
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(Disclosure and Investor Protection) Guidelines‚ 2000. The measures in practice gave mixed results. On the positive front‚ many banks sponsored mutual fund had launched assured return schemes and lured the investor ’s huge contribution. When they failed to deliver the promise‚ SEBI gave directive to sponsor bank to honour the commitment made by the mutual funds‚ which cost the sponsor banks over Rs 2000 crore. SEBI has introduced a supplementary process of applying in public issues‚ viz. ASBA process
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Institute of Management (IIIM)‚ Charusat University of Science and Technology‚ Changa‚ hereby declare that the report of summer training and project work entitled “A Study on Risk and Investment Behavior of Investors‚ Baroda City and awareness of Mutual fund” is the result of my own work. I also acknowledge the other works/publicationscited in the report. Place: Changa Date: 15 JULY 2010 Signature ACKNOWLEDGEMENT Sometimes words fall short to show gratitude‚ the same happened
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role in promoting sale of mutual fund schemes. AMFI has therefore taken the initiative of developing a cadre of trained professional intermediaries. As the first step AMFI launched the certification programme in association with NSE’s Certification in Financial Markets (NCFM) in July 2000 and SEBI has made AMFI Certification compulsory in a phased manner. Intermediaries consisting of individual agents‚ brokers‚ distribution houses and banks engaged in selling of mutual fund products as of now do
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BUS 431a: Investment and Portfolio Management SPRING 2013‚ AUBG Quiz 2(a) Solution Guide Problem 1 (5 points) You are face with probability distribution of the HPR on the stock market index fund given in Spreadsheet 5.1 in the textbook. Suppose that the risk-free interest rate is 6% per year. You are contemplating investing $107.55 in a 1-year CD and simultaneously buying a call option on the stock market index fund with an exercise price of $110 and expiration of 1 year. What is the probability
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in the news) decision to go public? • Foreign exchange rates‚ convertibility‚ currencies and per capita incomes Is the growth in India confined to the growth in Sensex ? Role and future of banking and insurance sector in India. Reliability of mutual fund investments? Sensex Vs Terror attacks What could be done to lift our economy? Why our country mostly depend on World Bank loans? Would World Bank really help out any country to respond to the financial crisis…! Raising price- impact on
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have received focused regulatory attention since the establishment of the Securities Exchange Board of India (“SEBI”) in 1992. Towards the end of the 1992‚ to attract foreign capital‚ Foreign Institutional Investors (“FII”) such as Pension Funds‚ Mutual Funds‚ Investment Trusts‚ Asset Management Companies‚ Nominee Companies and incorporated/institutional Portfolio Managers were permitted to invest directly in the Indian stock markets. The U K Sinha Committee proposed a restructuring and rationalization
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