What is weight of each asset held in your final portfolio

Assignment Help Portfolio Management
Reference no: EM131147965

Requirements

Follow my investopedia. Performance, type overview of the project using complete sentences that includes the following topics.

1) Why you chose at least 3 of the investments you picked, two of which must be the required ETFs with a discussion of what an ETF is (in your own words).

2) Be sure to include the ETFs you chose, why you chose them, and what they track with at least three example companies for each.

3) Based on a portfolio comprised entirely of only your investments in the two required ETFs,• calculate the weight of each, the return of each, and the weighted return for the imagined portfolio.

4) What would your return have been if you had invested 60% in the equity ETF and 40% in the bond ETF?

5) How do these calculated returns compare with the return you actually earned? Use Google Finance or a similar source to research and report the estimated Beta for one of your stocks.

6) How did this stock's performance compare to the market?

7) Did this match the direction and magnitude predicted by the stock's beta?

8) What is the weight of each asset held in your final portfolio?

9) Based on these weights and reported betas, what is the beta of your portfolio?

10) How did your equity ETF perform compared to your bond ETF?

11) Is this what you expected? What contributed to this difference?

12) A discussion of the diversification and risk of your portfolio.

13) Was your portfolio adequately diversified? How and among what ways?

14) A discussion of the performance of your portfolio and how your portfolio's trading strategy and resulting performance compared to the market (Instructor's portfolio-Brandy Hadley's Profile) and how it would differ in the long run.

15) What you are glad you did and what you wish you would have done differently

16) What you learned and any other concepts from the course you believe are relevant to the discussion?

Reference no: EM131147965

Questions Cloud

How does leverage impact risk and return : How does leverage impact risk and return? How is risk related to operating and financial leverage? Explain your answer in detail. Discuss when a promise may constitute consideration. Do you believe that a promise would hold up in a court of law?
Write a short essay on given description : rite a short essay about How do the issues Luther present for debate illustrate the problems in the Church of his day?
Differences and similarities between-leader and manager : Identify and explain the differences and similarities between: A LEADER vs. A MANAGER ? What are the implications if leaders are inflexible in adjusting their style In your opinion? Explain what traits predict leadership?
Determine the factors that affect healthcare quality : Analyze the impact of healthcare financing and health insurance on healthcare access, quality, and cost. Determine the factors that affect healthcare quality in healthcare organizations.
What is weight of each asset held in your final portfolio : What is the weight of each asset held in your final portfolio? Based on these weights and reported betas, what is the beta of your portfolio? How did your equity ETF perform compared to your bond ETF?
Develop and test a python program : Develop and test a Python program that displays the day of the week that the following holidays fall on for a year entered by the user New Year's Eve
Discussed the importance of mission and vision statements : Over the course of this unit, we have discussed the importance of mission and vision statements. As a part of that discussion, we analyzed mission and vision statements for their effectiveness.
Develop research question and research method section : The topic is: Gender confusion is more prevalent among urban adolescents.- develop research questions, research method section, and statistical design.
Identifies potential stakeholders directly involved : Identifies potential stakeholders directly or indirectly involved - Specifies the overall objective and any outcomes for this project

Reviews

Write a Review

Portfolio Management Questions & Answers

  Portfolio analysis

The stock with the lowest beta (0.76) is Apple Inc. stock. The stock with the highest beta (3.29) is Facebook Inc. stock. Beta for Apple Inc. stock is less that 1, it tells us that stock price is less volatile and risky than mark..

  Provide investment portfolio advice

Provide investment portfolio advice and management to a client.

  Evaluate total number of shares

EBV proposes to structure the investment as 5m shares of CP with FV of $5m, one-to one conversion to common, and no dividends. Total Valuation Estimated from Newco.

  Role of the imf and world bank

Economic and territorial logic of empire are not always aligned. Explain his argument in light of the role of the IMF and World Bank as forms of neo imperialism.

  Prepare a portfolio of stocks

Prepare a portfolio of stocks

  Which critically examines the benefits and risks to company

Which critically examines the benefits and risks to a company, of incorporating corporate debt into a portfolio of equity and debt.

  Compute the variance-covariance matrix

Compute the sample mean, variance, and standard deviation of these shares and compute the variance-covariance matrix V and Plot the daily share prices and daily returns for each individual asset.

  Net nominal rate of interest and net real rate of interest

What bank portfolio can guarantee the rate of return 1 to all type 1 people and the rate of return 1.2 to all type 2 people? How many goods are placed in storage? In capital?

  Right issue to improve financial status

If you are the CEO of a British company that now faces the loss of a lucrative contract in Malaysia because of the dispute. What action should you take and How do you think British government should respond to the Malaysian action?

  Calculate the cost of reinvested profits

Calculate the cost of reinvested profits and the cost of new common shares using the constant-growth DVM - Cost of reinvested profits versus new common shares-DVM

  Calculate the after-tax cost of debt

Cost of debt For each of the following bonds, calculate the after-tax cost of debt. Assume the coupons are paid semi-annually, that the tax rate is 40 percent, and that we are dealing with $1,000 of par value.

  Calculate the overall cost of capital for cartwell products

Calculate the overall cost of capital for Cartwell Products. Which projects should the firm select? Does your answer differ from your answer topart d? If so, explain why.

Free Assignment Quote

Assured A++ Grade

Get guaranteed satisfaction & time on delivery in every assignment order you paid with us! We ensure premium quality solution document along with free turntin report!

All rights reserved! Copyrights ©2019-2020 ExpertsMind IT Educational Pvt Ltd