"Project portfolio management at novartis pharma" Essays and Research Papers

Sort By:
Satisfactory Essays
Good Essays
Better Essays
Powerful Essays
Best Essays
Page 4 of 50 - About 500 Essays
  • Better Essays

    INTRODUCTION Knowledge management is systematic management of intellectual capital and organizational knowledge as well as the associated processes of creating‚ gathering‚ organizing‚ retrieving‚ leveraging‚ and using intellectual capital for the purposes of improving organizations and the people in them. Through these processes‚ organizations capture and store data and information in a central or distributed electronic environment—often referred to as a knowledge base. Knowledge management involves an intentional

    Premium Knowledge management Pharmaceutical industry Drug discovery

    • 4159 Words
    • 17 Pages
    Better Essays
  • Powerful Essays

    A PROJECT REPORT ON EQUITIES AND PORTFOLIO MANAGEMENT Submitted in the partial fulfillment for the award of the degree of MASTER OF BUSINESS ADMINISTRATION BY A.INDU ROLL NO: 0640-60-121 Under the guidance of Mr.Mahender [pic] BHAVAN’S VIVEKANANDA COLLEGE Sainikpuri‚ Secunderabad (AFFILAITED TO OSMANIA UNIVERSITY) 2006-2008 DECLARATION I hereby declare that this Project Report titled EQUITIES AND PORTFOLIO MANAGEMENT submitted by me to the Department of Business

    Free Investment Financial markets

    • 4326 Words
    • 18 Pages
    Powerful Essays
  • Good Essays

    Pharma

    • 18084 Words
    • 73 Pages

    b.pharma INTRODUCTION INTRODUCTION Drug Omeprazole Omeprazole is a proton pump inhibitor used in the treatment of dyspepsia‚ peptic ulcer disease (PUD)‚ gastroesophageal reflux disease (GORD/GERD)‚ laryngopharyngeal reflux (LPR)‚ and Zollinger-Ellison syndrome. It was first marketed in the US in 1989 by AstraZeneca under the brand names Losec and Prilosec‚ and is now also available from generic manufacturers under various brand names. AstraZeneca

    Premium Pharmaceutical industry Sales Generic drug

    • 18084 Words
    • 73 Pages
    Good Essays
  • Good Essays

    Sub: Finance Question: Calculation of variance of portfolio. Topic: Portfolio management ClassOf1 provides expert guidance to College‚ Graduate‚ and High school students on homework and assignment problems in Math‚ Sciences‚ Finance‚ Marketing‚ Statistics‚ Economics‚ Engineering‚ and many other subjects. Suppose there are three risky assets‚ A‚ B and C with the following expected returns‚ standard deviations of returns and correlation coefficients. E (rA)= 4% E (rB)=5% E (rC) =15% S.DEVA=5%

    Premium Variance Standard deviation

    • 675 Words
    • 3 Pages
    Good Essays
  • Powerful Essays

    Loan Portfolio Management

    • 23101 Words
    • 93 Pages

    Loan Portfolio Management Introduction Background: L ending is the principal business activity for most commercial banks. The loan portfolio is typically the largest asset and the predominate source of revenue. As such‚ it is one of the greatest sources of risk to a bank’s safety and soundness. Whether due to lax credit standards‚ poor portfolio risk management‚ or weakness in the economy‚ loan portfolio problems have historically been the major cause of bank losses and failures. Effective

    Premium Interest Debt Credit

    • 23101 Words
    • 93 Pages
    Powerful Essays
  • Good Essays

    Portfolio Management of Research Projects in the Public and Private Sectors Yolanda Yebra Aguado Project Management Submission date: June 2011 Supervisor: Tim Kristian Andreas Torvatn‚ IØT Norwegian University of Science and Technology Department of Industrial Economics and Technology Management MSc in Project Management‚ Thesis Preface This thesis work is carried out at the department of Industrial Economics and Technology Management (IØT). It constitutes the final thesis for the Master of

    Premium Project management Strategic management Research

    • 24885 Words
    • 96 Pages
    Good Essays
  • Powerful Essays

    Portfolio management IDBI

    • 7733 Words
    • 32 Pages

    Report of Summer Training Conducted At IDBI Federal Life insurance co. Ltd. Submitted in partial fulfillment of the requirements For the award of the degree of Master of Business Administration (MBA) To Guru Gobind Singh Indraprastha University‚ Delhi Guide: Submitted by: Guide Name: Ms. Swati Student Name: Janisha Gandhi Roll No.: 04780003912 Batch: 2012-2014 Gitarattan International

    Premium Investment Insurance Risk

    • 7733 Words
    • 32 Pages
    Powerful Essays
  • Powerful Essays

    Portfolio Management Report

    • 4667 Words
    • 19 Pages

    CAPM 6 CAPM’s application 6 Steps in practice 6 Part B - Actively managed investment Problem defined 10 Solution: Black – Litterman Model 11 Application for Dow Jones Plus Fund 12 Review on the Portfolio 13 Conclusion 14 Part C – Portfolio performance and Style analysis Portfolio performance Sharpe’s Measure 16 Treynor’s Measure 16 Jensen’s Measure 17 M2 Measurement 17 Style analysis Style analysis 18 Benchmark indices 18 Fund’s return 19 Conclusion 19 Reference

    Premium Investment

    • 4667 Words
    • 19 Pages
    Powerful Essays
  • Powerful Essays

    Active Portfolio Management

    • 6522 Words
    • 27 Pages

    Notes: Active Portfolio Management By Zhipeng Yan Active Portfolio Management By Richard C. Grinold and Ronald N. Kahn Part I Foundations......................................................................................................... 2 Chapter 1 Introduction..................................................................................................... 2 Chapter 2 Consensus Expected Returns: The CAPM ..................................................... 3 Chapter 3 Risk .

    Premium Investment Risk aversion Financial ratios

    • 6522 Words
    • 27 Pages
    Powerful Essays
  • Powerful Essays

    PORTFOLIO MANAGEMENT OUTLINE (PART ONE): I. The Rationale for Portfolio Management; II. Investor Objectives and Constraints; III. Risk and Return Profile of Philippine Financial Assets; IV. Traditional Portfolio Management; V. Modern Portfolio Theory; VI. Implications of Diversifications on Portfolio Management; and VII. Investing in Managed Portfolios. I. The Rationale for Portfolio Management: a.) To balance investor objectives and available investment opportunities; b.) b)

    Premium Investment

    • 3220 Words
    • 13 Pages
    Powerful Essays
Page 1 2 3 4 5 6 7 8 9 50