Investment Portfolio Project

Page 26 of 50 - About 500 Essays
  • Premium Essay

    Active Joint Fasb / Iasb Projects

    Since that time the FASB and the IASB have been working on joint projects a.k.a convergence projects designed to improve both US Generally Accepted Accounting Principles (US GAAP) and International Financial Reporting Standards (IFRS), eliminate differences between them, and ultimately make the standards fully compatible. In 2010, to increase efficiency the boards decided to focus on the priority projects. Two of those projects, fair value measurement and statement of other comprehensive income

    Words: 5016 - Pages: 21

  • Premium Essay

    Brac Bank

    the Study : The report is a dynamic approach for practical knowledge gathered at this study. My effort was for practical experience through report prepared on for business communication skills as well as banking sectors particularly in portfolio investment. Financial market has turned into a buyer's market. Banks are also changing with time and trying to become one-stop financial super market. As a student of BBA Honors for the requirement of the report preparation, I was assigned to the BRAC

    Words: 5286 - Pages: 22

  • Premium Essay

    Types of Risk

    risk, is the company-specific or industry-specific risk in a portfolio, which is uncorrelated with aggregate market returns. Unsystematic risk can be mitigated through diversification, and systematic risk can not be.[1] Systematic risk should not be confused with systemic risk, the risk of loss from some catastrophic event that collapses the entire financial system. Contents [hide] * 1 Example * 2 Systematic risk and portfolio agement * 3 References * 4 See also | -------------------------------------------------

    Words: 1612 - Pages: 7

  • Free Essay

    Political Risk

    Political Risk Political risk is a type of risk faced by investors, corporations, and governments. It is a risk that can be understood and managed with reasoned foresight and investment. Broadly, political risk refers to the complications businesses and governments may face as a result of what are commonly referred to as political decisions—or “any political change that alters the expected outcome and value of a given economic action by changing the probability of achieving business objectives

    Words: 948 - Pages: 4

  • Premium Essay

    Notes for Corporate Finance

    Corporate Finance Notes * Chapter One: Introduce to Corporate Finance 1. Three Questions: A. What Long-term asset should be invested? Capital Budgeting B. How to raise cash for capital expenditures? Capital Structure C. How to manage short-term cash flow? Net Working Capital 2. Capital Structure: Marketing Value of Firm = MV of Debt + MV of Equity 3. Finance perspect and Accountant perspect: Finance: Cash Flow ! Accountant: A/R means profit ! 4. Sole proprietorship

    Words: 2072 - Pages: 9

  • Premium Essay

    Risk Management Issues

    INRODUCTION: Credit Risk Management (CRM) is responsible for the planning, monitoring and reporting of the credit portfolio. The monitoring of loans on obligor and portfolio basis as well as the reporting of these to Management and the Board remains the core responsibility of CRM. The monitoring unit is delineated along the strategic business units (SBUs) to provide independent support and guidance to the relationship teams in the management of facilities, by ensuring early warning signs of deterioration

    Words: 4260 - Pages: 18

  • Premium Essay

    Stock Trak Report

    Investment Principles and Analysis Trinity University FNCE 3352 Spring 2010 INSTRUCTOR: Carl M. Hubbard, Ph.D., CFA Office: CGC N3l6; phone 999-7283, carl.hubbard@trinity.edu OFFICE HOURS: 9:30 – 11:30 MW; 2:30 – 4:00 TTh; Other times available by appointment. TEXTBOOK: Zvi Bodie, Alex Kane, and Alan J. Marcus. Essentials of Investments, 7th Edition. New York: McGraw-Hill, 2008. CALCULATOR: Texas Instruments BAII Plus Calculator COURSE OBJECTIVES The learning objectives

    Words: 1970 - Pages: 8

  • Premium Essay

    Risk Mgt of Rural and Agricultural Finance

    RISK AND RISK MANAGEMENT OF RURAL AND AGRICULTURAL FINANCE (MD. IBRAHIM KHOLILULLAH, DEPT OF AG.FINANCE, BAU MOB: 01718996557) INTRODUCTION When discussing rural finance in Bangladesh, the foremost issue that merits mention is that loans to agriculture are generally offered only by specialized agricultural banks, since commercial banks and microfinance institutions largely refrain from financing the sector. There are many reasons for this, the most important of which is that this finance is strewn

    Words: 4322 - Pages: 18

  • Premium Essay

    Boo Hoo Peak a Boo

    A. An indexed investment represents a high diversified type of securities without the risk of systematic market exposure. This form of risk cannot be diversified within the company because it represents that one company’s fragility within the market itself. B. a. An active approach toward rebalancing the policy brings competent flexibility to multiple time periods and a more favorable strategic asset allocation. b. Indexing to asset increases the portfolios time frame and returns

    Words: 514 - Pages: 3

  • Premium Essay

    Stocktrak Final Paper

    Building a successful investment portfolio is a very important task that millions of people put a lot of time and research into in order to be successful. A portfolio is a mixture of different types of investments that blend together to supply a return in which one can use for whatever is preferred. Over the course of the current semester, my finance class and I have been working on our own personal portfolios via an online investment strategy game called StockTrak. This investment simulation gives

    Words: 1162 - Pages: 5

Page   1 23 24 25 26 27 28 29 30 50