Title: FIN 402 MASTER Expect Success fin402masterdotcom
1FIN 402 MASTER Expect Success/fin402masterdotcom
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2FIN 402 Entire Course
- FIN 402 Week 1 Assignment Capital Markets and
Investment Banking Process Paper - FIN 402 Week 1 Individual Weekly Question
- FIN 402 Week 1 Individual Problem Set
- 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 (2 Papers) - FIN 402 Week 2 Assignment Asset Classes Paper
- FIN 402 Week 2 weekly Problem Set
3FIN 402 Week 1 Assignment Capital Markets and
Investment Banking Process Paper
- FIN402 Week 1 Assignment Capital Markets and
Investment Banking Process Paper
4FIN 402 Week 1 DQ 1
- What are capital market instruments? How are they
used? Which is most important? Explain your
answer.
5FIN 402 Week 1 DQ 2
- What is an asset class? How are asset classes
selected? What factors affect the selection? - Related Tutorials
6FIN 402 Week 1 DQ 3
- What is a derivative? What are the different
types of derivatives? How do businesses use
derivatives to mitigate risks?
7FIN 402 Week 2 Assignment Asset Classes Paper
- FIN402 Week 2 Assignment Asset Classes Paper
8FIN 402 Week 2 DQ 1
- What are different ratio categories? Which
category is most important to bondholders? Why?
Which category is most important to stockholders?
Why?
9FIN 402 Week 2 DQ 2
- What are liquidity ratios? Why are they
important? How may an investor use liquidity
ratios when making investment decisions?
10FIN 402 Week 2 DQ 3
- What is the CAPM? Are CAPM assumptions realistic?
Why or why not?
11FIN 402 Week 2 Learning Team Assignment Portfolio
Selection 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
12FIN 402 Week 3 Assignment Relative Performance
Paper
- FIN 402 Week 3 Assignment Relative Performance
Paper
13FIN 402 Week 3 DQ 1
- 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?
14FIN 402 Week 3 DQ 2
- What is the relationship between inflation and
interest rates? How does this relationship affect
asset prices? How does the unemployment rate
affect interest rates?
15FIN 402 Week 3 DQ 3
- What factors must be taken into consideration
when creating an investment portfolio? How must a
portfolios components be weighted?
16FIN 402 Week 3 Individual Assignment CAPM Web
Exercise
- FIN 402 Week 3 Individual Assignment CAPM Web
Exercise - ResourceFundamentals 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
17FIN 402 Week 4 DQ 1
- What are examples of active and passive portfolio
management techniques? Why would a portfolio
manager pursue active instead of passive
techniques?
18FIN 402 Week 4 DQ 2
- Does international diversification enhance risk
reduction? Why or why not? What measures may be
taken to reduce risks of international portfolio
investing?
19FIN 402 Week 4 DQ 3
- 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?
20FIN 402 Week 4 Individual Assignment Risk and
Return Tradeoff Memo
- 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 Bonitas chief executive officer,
in which you analyze risk and return tradeoffs
associated with the organizations investment
portfolio. Address the following - Decisions you made in the simulation
21FIN 402 Week 4 Learning Team Assignment Risk and
Return Analysis Paper (Portfolio Risk Analysis)
- 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.
22FIN 402 Week 5 Assignment Investment Portfolio
Paper
- FIN 402 Week 5 Assignment Investment Portfolio
Paper
23FIN 402 Week 5 DQ 1
- What are different types of alternative
investment vehicles? Which is preferable? What
factors could affect the choice of such a vehicle?
24FIN 402 Week 5 DQ 2
- What is an individual retirement account? Is it
important to have an individual retirement
account?
25FIN 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.
- Related Tutorials
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