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Business Writing Portfolio
Objective: The writing portfolio will include a variety of writing types that you may be expected to complete in your first job.
Student Portfolio - Your portfolio will include seven writing samples with annotation (audience, intent/purpose, outcome). The portfolio must also include an Executive Summary which will serve as an introduction to you and the contents of your portfolio.
Required
- Bio and/ or profile/cover letter
- Meeting Request
- Meeting Minutes
- Thank You/Appreciation Message
Choose
- Competitive Analysis report to CEO
- Company Announcement-Elimination of certain employee benefits
- Focus Group Report
- Instructions
- Meeting Agenda
- Policy and Procedures
- Press Release
- Product Comparison Review and Recommendation
- Proposal (i.e. sales, new policy, funding)
Suppose that the assets of a bank consist of $500 million of loans to BBB-rated corporations. The PD for the corporations is estimated as 0.3%.
you are a managing partner of a prestigious investment counseling firm that specializes in individual rather than
What must Manager B's skill level be to match Manager A's information ratio? What information ratio could a sponsor achieve by employing both managers, assuming that Manager B has a skill level of 8 percent?
Compare the performance of the DJ Euro STOXX index in terms of euros and the U.S. dollar. Find one other index that will allow a comparison between two different currencies and discuss their relative performance.
What are Electronic Communication Networks (ECNs) and alternative trading systems (ATSs)? How are national exchanges around the world linked, and what is meant by "passing the book"?
problem a stock currently sells for 50. in six months it will either rise to 55 or decline to 45. the risk-free
Obtain the closing price, the change in price from the previous day, and the beta.
Should the portfolio be invested actively, passively or using a mixture of the two? (As part of your answer, include definitions of active and passive and examples of each.)
How could you mitigate the negative size bias induced by the long-only constraint? How would you attempt to look as good as possible by this measure? Would this always coincide with the best interests of the manager?
What is the optimal portfolio beta? What are the factor exposures of the optimal portfolio? Discuss any concerns over these factor exposures.
light sweet petroleum inc. is trying to evaluate a generation project with the following cash flowsyear0 cash flow
How is portfolio risk measured? What determines portfolio risk? What happens to portfolio risk as the number of assets in the portfolio increases?
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