"Questionnaire on risk and return perception in stock market" Essays and Research Papers

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    macroeconomic variables and stock market indices 1.1 Introduction and Background The financial system is considered to be the key to economic growth. A well developed and sound financial system promotes investment by the identification and financing of profitable business opportunities‚ through the mobilization of savings‚ the efficient allocation of resources‚ by helping to diversify risks and by facilitating the exchange of goods and services. (Mishkin‚ 2001). As such‚ stock markets have assumed a developmental

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    FINANCE TESTING SEASONALITY IN THE INDIAN STOCK MARKET A Project Report submitted in partial fulfillment of the requirements for the Degree of Master of Business Administration Under the guidance of: Dr. S.K. Tuteja Submitted by: Sachin Garg F-045‚ MBA(FT) 2011-13 Faculty of Management Studies University of Delhi Delhi – 110007 CERTIFICATE This is to certify that this project report titled “Testing Seasonality in the Indian Stock Market”‚ submitted in partial fulfilment of the

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    that you will be forced to take because of the regulatory obsolescence is material- nearly a 20 percent reduction in income will result. If you can sell the inventory in a foreign market‚ legally‚ there will be no write-down and no income reduction. A reduction of that magnitude would substantially lower share market price‚ which in i=turn would lead your large your large‚ institutional shareholders to demand explanations and possibly seek changes in your company’s board of directors. In short

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    RISKS AND CHALLENGES OF EMERGING MARKETS The above stated reasons‚ means and advantages of investing in emerging markets have resulted in the emergence of these economies on the global stage. The BRIC economies‚ Turkey‚ Poland‚ Czech Republic‚ Tunisia‚ Republic of South Africa‚ Chile‚ Peru‚ Argentina‚ and Indonesia are increasing their share of global trade and serving as the main engines of growth in the world economy. Trade among these countries has also grown by a staggering amount in recent

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    Research Journal of Finance and Accounting ISSN 2222-1697 (Paper) ISSN 2222-2847 (Online) Vol 3‚ No 10‚ 2012 www.iiste.org Financial Ratios and Stock Return Predictability (Evidence from Pakistan) Muhammad Bilal Khan Faculty of Administrative Sciences Air University Islamabad Tel: +92-334-8819057 E-mail: mbilalkhan88@yahoo.com Sajid Gul (Corresponding Author) Faculty of Administrative Sciences Air University Islamabad Mardan 23200 KPK Pakistan Tel: +92-332-8102955 *E-mail: sajidali10@hotmail

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    5942 Impact of Union Budgets on Indian Stock Market –A Case Study of NSE Gurcharan Singha and Salony Kansalb a Reader‚ School of Management Studies‚ Punjabi University‚ Patiala b Junior Research Fellow‚ School of Management Studies‚ Punjabi University‚ Patiala Corresponding author: guru64@gmail.com Abstract This paper examines the impact of Union Budgets from 1996 to 2009 on the Stock Market as represented by S&P CNX Nifty in terms of returns and volatility. The impact on S&P CNX

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    public? 2. What do you think the current market price is for Rosetta Stone shares? Justify your valuation using both discounted cash flow and comparables (market multiples) analysis. 3. At what price would you recommend that Rosetta Stone shares be sold? Rosetta Stone: Pricing the 2009 IPO Please address the following questions in your write-up. 1. What are the advantages and disadvantages of Rosetta Stone going public? 2. What do you think the current market price is for Rosetta Stone shares? Justify

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    Nguyen Duc Thuan ID: 1349672 FIN 3331 – Risk & Return Assignment 1. Answers: The expected return of this stock is: E[RJ] = 0.2(12%) + 0.35(18%) + 0.3(-10%) + 0.15(10%) = 7.2% The standard deviation is: 2J = 0.2(0.12 – 0.072)2 + 0.35(0.18 – 0.072)2 + 0.3(-0.1 – 0.072)2 + 0.15(0.1 – 0.072)2 = 0.0135 J = = 11.63% 2. Answers: The average return and standard deviation of Large co. stock return is: Sum of Large co. stock = -14.69 – 26.47 + 37.23 + 23.93 – 7.16 + 6.57 = 19.41 Mean = Sum/N

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    1 January 2009‚ Pp. 389- 404 Calendar Effects in Pakistani Stock Market Shahid Ali* And Muhammad Akbar** The paper investigates calendar anomalies in the Pakistani stock market by taking a data of stock returns of fifteen years from November 1991 to October 2006. The existence of calendar anomalies could endanger the assumption of Efficient Market Hypothesis. Using one Factor ANOVA the main hypotheses about equality in returns on daily‚ weekly and monthly basis are tested using F-test and are

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    The Stock Market Crash of 1929 was devastating to the American economy‚ which up to that point had been thriving with ever increasing economic returns for investors and a bull market‚ which encouraged buying. The cause of the crash has been attributed to many things‚ but there is one underlying factor to all of the possible hypotheses‚ and that is the fact that more people in the population had more disposable income in the years leading up to the crash. Those people in the population who had moved

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