Portfolio analysis

Evidence, explanation of the cost of the award. A combination of cost and momentum strategies. Working with abnormal distributions. Testing of median values for significance. Measuring the performance of built portfolios. Conducting regression analysis.

Подобные документы

  • The dawn of international investing. The intuition behind diversifying across nations. International portfolio diversification benefits: Cross-country evidence from a local perspective. Returns in emerging markets. The development of the financial market.

    курсовая работа, добавлен 28.08.2016

  • Determination of the features of effective investment policy, which can create conditions for overcoming the current crisis through attracting foreign capital. Analysis of methods for attracting foreign investment and financial control over their use.

    статья, добавлен 01.12.2017

  • The article presents the first critical analysis of the approach used by EU regulators and courts, in relation to cryptoactivity. The purpose of the analysis - is to see if a new European regulation on encrypted financial services is really born.

    статья, добавлен 03.05.2023

  • Вкладання капіталу в корпоративні цінні папери. Метод порівняння інвестиційних проектів за розміром середньозваженої вартості капіталу Weighted Average Cost of Capital (WACC). Інструменти для аналізу ефективності реалізованих інвестиційних проектів.

    реферат, добавлен 11.05.2014

  • Analysis of the financial position of the world's biggest companies. Evaluation of the changes in the prices of their securities in the short and long term. Identify the factors that influence their dynamics. Forecasting profit without option price.

    статья, добавлен 16.06.2014

  • Determining the nature of financial leasing in Ukraine, analysis of the leasing market and identifying inhibitory factors in the development of leasing. Dispensation of the ongoing financial leasing in agriculture for the period from 2007 to the 2013.

    статья, добавлен 14.09.2016

  • Study of the transformation of types of local taxes in the tax system based on a retrospective analysis of their legal regulation. The shortcomings and positive experience of taxation lawmaking. The legal grounds for conducting a taxation experiment.

    статья, добавлен 15.09.2022

  • An study on the ambiguities and the risk on the Russian stock market. Portfolio theory, linear relationship between risk and return and the known probabilities of outcomes. The relationship between risk and return of uncertainty intraday observations.

    контрольная работа, добавлен 26.08.2016

  • Key features and analysis of the activities of private enterprise "UBA". Application of methodological approaches to the assessment of the company. A comprehensive description of the financial situation of the company, recommendations for its improvement.

    статья, добавлен 27.03.2016

  • Economic analysis as a method involving division of economical processes into individual components in order to examine the relationship between them. Characteristics of the main indicators of liquidity and solvency of the banking sector in Poland.

    статья, добавлен 28.09.2016

  • Study of the questions the applicability of the efficient market hypothesis for analysis of financial markets. Analyze methods of forecasting future prices of financial assets based on the concept of the fractal structure and long-term memory of markets.

    статья, добавлен 26.06.2018

  • The influence of Brexit on the financial markets through the media coverage. Application of the social media analysis to such unique event. Econometric analysis of daily returns of FTSE and DJA with number of publications as one of exogenous variables.

    дипломная работа, добавлен 07.09.2018

  • Markowitz portfolio theory. Risk and return relationship. Validity and the role of the CAPM. Efficient frontier. Security market line. Capital asset pricing model. Testing the CAPM. Consumption betas with market betas and the arbitrage pricing theory.

    презентация, добавлен 02.08.2013

  • Development of a sound financial policy, which should be aimed at increasing the efficiency of banking business and the activities of enterprises on the financial market. Optimization of main costs and ensuring transparency of budget operations.

    статья, добавлен 02.07.2024

  • Examining the indicators that can be used for evaluation of the fiscal efficiency of the personal income tax. The analysis of revenue to consolidated and local budgets including the regional ones. Changes in the tax elasticity ratios during 2005-2013.

    статья, добавлен 01.12.2017

  • The theoretical aspects of Netflix functioning. Netflix business model, financial structure and earnings and investment statistics, organizational structure are analyzed. Comprehensive analysis of the company's work was performed using different methods.

    курсовая работа, добавлен 25.01.2021

  • The overview of tax incentives for RES energy development in the EU. The tax incentives have played a crucial role in driving the growth of RE energy markets in EU countries by reducing the cost of renewable energy and improving its competitiveness.

    статья, добавлен 20.07.2024

  • Bank loans as the main financial instruments of the enterprise. Control market danger exposures within acceptable parameters, while optimising returns - one of the objective of risk management. Profitability analysis of United Company "RUSAL" PLC.

    презентация, добавлен 26.06.2016

  • The role of credit unions as agents of local economic development and their commitment to providing financial services. Their contribution to the financial inclusion and economic development in Poland according to the approach of regional analysis.

    статья, добавлен 04.09.2024

  • Analyzed approaches to the financial management of the business and its interdependence with investment analysis and marketing activities of enterprises in modern conditions of development. Investigated basic indicators of efficiency of investments.

    статья, добавлен 24.11.2020

  • Analysis of the mechanisms of state regulation of the stock market based on national characteristics. The importance of creating an adequate legal framework. The need for control over pricing processes by state authorities in the securities market.

    статья, добавлен 03.12.2020

  • Analyze the main financial indicators and financial architecture of the selected companies of the study. Based on a analysis of the companies, determine the current capital structure and find out country differences of Uzbek and Russian companies.

    дипломная работа, добавлен 07.12.2019

  • Contents of the concept of financial stability (FB) of the organization. Assessment of the FB of agricultural organizations, along with the use of the proposed integral assessment of FB. Factor analysis of the coefficients of financial independence.

    статья, добавлен 21.06.2018

  • Categories "working capital", "current funds". The relationship of categories, the classification of current assets of the enterprise. The composition, structure and dynamics of working capital of the enterprises of the food industry in Odessa region.

    статья, добавлен 06.10.2018

  • Working capital optimization of global companies in the previous research. Methods of working capital optimization in the global petroleum industry in the literature overview. Findings of research on ExxonMobil and Chevron. Account payables management.

    дипломная работа, добавлен 04.12.2019

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