BANGLADESH FUND FUND HIGHLIGHTS Bangladesh Fund 01 Name 02 Sponsors Investment Corporation of Bangladesh Janata Bank Limited Bangladesh Development Bank Limited Sadharan Bima Corporation 03 Trustee ICB Capital Management Limited 04 Custodian ICB Capital Management Limited 05 Asset Manager ICB Asset Management Company Limited 06 Initial Size of the Fund Tk. 5‚000‚00‚00‚000.00 (five thousand crore) divided into 50‚00‚00‚000 (fifty crore) units
Premium Investment Finance Mutual fund
PREFERRED STOCK VERSUS COMMON STOCK The primary advantage to an investor of holding preferred stock compared with common stock is that the preferred stock return is somewhat more predictable (more certain). The issuing company will generally make a real effort to try to avoid defaulting on the preferred stock dividend. Since the return to preferred stock is reasonably well defined and since the preferred stockholders precede the common stockholders (the preferred dividends are paid before the
Premium Preferred stock Debt Dividend
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 growth was slow‚ but it accelerated from the year 1987 when non-UTI players entered the industry. In the past decade‚ Indian mutual fund industry had seen a dramatic imporvements‚ both qualitywise as well as quantitywise. Before‚ the monopoly of the market had seen an ending phase‚ the Assets Under Management (AUM) was Rs. 67bn. The private sector entry to the fund family
Premium Mutual fund Investment Hedge fund
OF MUTUAL FUNDS AND STUDY OF INVESTORS PERCEPTION ABOUT INVESTMENT IN MUTUAL FUNDS INSTITUTE OF MANAGEMENT SCIENCE UNIVERSITY OF LUCKNOW SUBMITTED BY : Namindra Awasthi MBA FC III SEM CONTENTS PART-1 PAGE NO 1. ACKNOWLEDGEMENTS 3 2. PREFACE 4 3. SUMMARY/ABSTRACT 5 4. INTRODUCTION 6 5. INDUSTRY PROFILE 7 6. ABOUT MUTUAL FUND
Premium Mutual fund Investment Financial services
Global Asset Allocation Finance 656 (Please return to Fang Song’s locker #552) Michelle Bien Yushao Karen Chiu Srinivas Mudireddy Fang (Derek) Song‚ 12/08/2013 A Study on stock returns and volatility Abstract This paper applies two models to examine the intertemporal relationship between expected returns and market risk. By using ARIMA models‚ two findings can be found: 1) A positive correlation exists between the expected market risk premium and the predictable volatility. 2)
Premium Standard deviation Variance
- Contact no: - Occupation: - 1) What kind of investments you have made so far? ← Saving account ← Fixed deposit ← Mutual fund ← Gold ← Stock/equity market ← Real estate ← PPF ← Insurance 2) How much is your total investment annually? ← Less than 15000 ← 15000 – 40000 ← 40000 – 60000 ← More than 60000 3) What is the purpose of investment? ← To meet
Premium Investment Mutual fund Finance
Supply Chains In The Fmcg Sector Commerce Essay The cadbury is the company which is in production of delicious chocolates the main and famous products of cadbury are cadbury dairy milk‚ cadbury gems‚ cadbury 5 star‚ cadbury Celebrations‚ Temptations‚ and Gems. In Milk Food drinks segment‚ Cadbury’s main product - Bournvita is the leading Malted Food Drink in the country. Cadbury is one of the biggest confecionary company in the world established in 1783. . The operations of cadbury started in india
Premium Chocolate Supply chain management terms Supply chain management
STUDY Reliance mutual Fund Contents a) Executive Summary b) Objectives c) Research Design 1. Type of study 2. Source of Data 3. Data Collection Mode d) Sampling e) Data Analysis f) Findings g) Leanings from survey h) Future Direction i) Bibliography Executive summery The Present market survey report is a partial fulfillment of PGDM and as a part of Curriculum. This is an attempt to determine and analyze the
Premium Mutual fund Investment Sampling
Valuation of Common Stock Ashok Banerjee Common (Equity) Stocks • Because common stock never matures‚ today’s value is the present value of an infinite stream of cash flows (i.e.‚ dividend). • But dividends are not fixed. • Not knowing the amount of the dividends—or even if there will be future dividends— makes it difficult to determine the value of common stock. • So what are we to do? Valuation Models • Dividend Valuation Model (DVM): – Constant dividend: Let D be the constant DPS: The required
Premium Discounted cash flow Time value of money Stock market
Jim Wilcox Bond Yields‚ Returns‚ Risks‚ and Duration • • • • • Bonds and Loans Yields and Returns Price Volatility and Risk in Default-Free Bonds Measuring Interest Rate Risk Duration: Types‚ Calculation‚ Meaning‚ Uses • Next Time: Chapter 11 re: Duration Week # 2 January 28‚ 2014 1 Coming Soon! What We Did 1. 2. 3. 4. Week # 2 January 28‚ 2014 2 Yield to Maturity (YTM): A Result‚ Not a Cause! • YTM = percentage rate that equates (known) bond price to PV
Premium Bond Bonds