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Having investment in both Proctor and Gamble (PG), and Research in Motion (RIMM) from September 2010 upto now. Write a four-page analysis. To compare their performance to that of the S&P 500, Give a brief history of each stock. Do some Fundamental and technical analysis, also Economic and Industry analysis. Measure Stock Risk, Then Conclude with proposal for the future.
solve the mean variance problem to construct a portfolio f a securities consider in ar least 5 securities:no short salling and with lending & borrowing
how portfolio risk is covered and how to compute portfolio risk
Place the information described in this stage in the worksheet titled "Analysis". Step 1) Calculate the arithmetic average periodic return and standard deviation of periodic ret
what are the type of investment
Choose any five securities at random and determine the average returns for each company for the 132 months along with the variance and standard deviation of these returns. Next con
baumol model meaning advantages and features?
Hello I was wondering how can I construct a portfolio for analyzing momentum effect. The portfolio should include four stocks out of 40 with highest returns
what are some of the ethical responsibilities of portfolio management
You learn taht the Wilshire 5000 market value weighted index increased by 16% during a specific period, whereas a Wilshire 5000 equal-weighted index increased by 23% during the sam
In the category of multi-class mutual funds, this is the class that is generally characterized by a loaded fee structure. Class A mutual fund units will normally have a front- or r
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