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FIN 402 guide FIN 402 Entire Course FIN 402 Entire Course and Final Exam Guide • FIN 402 Week 1 Assignment Capital Markets and Investment Banking Process Paper • FIN 402 Week 1 DQ 1 • FIN 402 Week 1 DQ 2 • FIN 402 Week 1 DQ 3 • FIN 402 Week 2 Learning Team Assignment Portfolio Selection Paper • FIN 402 Week 2 Assignment Asset Classes Paper • FIN 402 Wee.. • FIN 402 Entire Course and Final Exam Guide
FIN 402 guide FIN 402 Week 1 Assignment Capital Markets and Investment Banking Process Paper FIN 402 Week 1 DQ 1 • FIN 402 Week 1 Assignment Capital Markets and Investment Banking Process Paper • What are capital market instruments? How are they used? Which is most important? Explain your answer.
FIN 402 guide FIN 402 Week 1 DQ 2 FIN 402 Week 1 DQ 3 • What is an asset class? How are asset classes selected? What factors affect the selection? • What is a derivative? What are the different types of derivatives? How do businesses use derivatives to mitigate risks?
FIN 402 guide FIN 402 Week 2 Assignment Asset Classes Paper FIN 402 Week 2 DQ 1 • FIN 402 Week 2 Assignment Asset Classes Paper • What are different ratio categories? Which category is most important to bondholders? Why? Which category is most important to stockholders? Why?
FIN 402 guide FIN 402 Week 2 DQ 2 FIN 402 Week 2 DQ 3 • What are liquidity ratios? Why are they important? How may an investor use liquidity ratios when making investment decisions? • What is the CAPM? Are CAPM assumptions realistic? Why or why not?
FIN 402 guide FIN 402 Week 2 Learning Team Assignment Portfolio Selection Paper FIN 402 Week 3 Assignment Relative Performance Paper • Resources: Electronic Reserve Readings, Internet, University Library • Select one publicly traded bond. • Select five organizations from the following list. These organizations represent the stocks that comprise your portfolio. • Cisco Systems, Inc.® • Citigroup® • Dell® • Disney® • Ford Motor Company® • General Electric Company® • The Home Depot, Inc.® • FIN 402 Week 3 Assignment Relative Performance Paper
FIN 402 guide FIN 402 Week 3 DQ 1 FIN 402 Week 3 DQ 2 • What is the difference between systematic and unsystematic risk? How is the beta coefficient used to assess risk? Is it better to maximize return or minimize risk? Why? • What is the relationship between inflation and interest rates? How does this relationship affect asset prices? How does the unemployment rate affect interest rates?
FIN 402 guide FIN 402 Week 3 DQ 3 FIN 402 Week 3 Individual Assignment CAPM Web Exercise • What factors must be taken into consideration when creating an investment portfolio? How must a portfolio’s components be weighted? • FIN 402 Week 3 Individual Assignment CAPM Web Exercise • Resource:Fundamentals of Investment Management • Prepare a response to the following assignment: • Web Exercise (Ch. 21) of Fundamentals of Investment Management, including calculations for each organization listed in Step 9
FIN 402 guide FIN 402 Week 4 DQ 1 FIN 402 Week 4 DQ 2 • What are examples of active and passive portfolio management techniques? Why would a portfolio manager pursue active instead of passive techniques? • Does international diversification enhance risk reduction? Why or why not? What measures may be taken to reduce risks of international portfolio investing?
FIN 402 guide FIN 402 Week 4 DQ 3 FIN 402 Week 4 Individual Assignment Risk and Return Tradeoff Memo • What are unique risks associated with foreign investments? How might an investor protect his or her portfolio against such risks? Is it possible to protect a portfolio from all risk? • FIN 402 Week 4 Individual Assignment Risk and Return Tradeoff Memo • Resources: Constructing and Managing a Portfolio Simulation, Electronic Reserve Readings, University Library • Complete the Constructing and Managing a Portfolio simulation on the student website. • Conduct research concerning the risk and return tradeoff, and the relationship between investment strategy and performance. • Prepare a 1,050- to 1,400-word memo to Rainier Ekstrom, Casa Bonita’s chief executive officer, in which you analyze risk and return tradeoffs
FIN 402 guide FIN 402 Week 4 Learning Team Assignment Risk and Return Analysis Paper FIN 402 Week 5 Assignment Investment Portfolio Paper • FIN 402 Week 4 Learning Team Assignment Risk and Return Analysis Paper • Complete the following activities: • Conduct a risk assessment and return analysis on the investment vehicles in your portfolio. • Select the weights of each vehicle in your portfolio; for example, the percentage of the portfolio each vehicle makes up. • Locate the beta for each security. Use .3 beta for bonds and 0 for money market instruments. • Calculate the weighted • FIN 402 Week 5 Assignment Investment Portfolio Paper
FIN 402 guide FIN 402 Week 5 DQ 1 FIN 402 Week 5 DQ 2 • What are different types of alternative investment vehicles? Which is preferable? What factors could affect the choice of such a vehicle? • What is an individual retirement account? Is it important to have an individual retirement
- FIN 402 Week 5 Individual Assignment Investment Enhancement Paper • Prepare a 1,050- to 1,750-word paper in which you address the following: • Analyze effects of international portfolio diversification on an investment portfolio. • Examine alternative investment vehicles.
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