Basically, I have 3 online assessments tomorrow, and I have revised and am ready for two of them but there is just one left which I am afraid I won’t be 100% prepared. I will get the online assessment about 13 hours from now. It has 2 sections one MCQ, and one Questions answer where there will be 3 questions calculation based. Now I cannot make payment and wait for the writer to check and then start doing it when the paper arrives. So right now I am uploading sample paper to give the writer an idea of what the questions will be like and I will only give him 3 questions of section 2 the rest I will do on my own. So only 3 questions I will sent the writer once it arrives at 7:30am Malaysian Time, about 13 hours from now. So I request the writer make the payment estimate based on the sample questions. And please I would request that a write be available at 7:30 am malaysian time and I assume that 3 questions can be finished within 1.5 hours, but 2 hours should be the limit, and I would prefer if he sends me a folder with the solution once each question is done.

Topics are Mutual Funds- advantages and disadvantages. calculating open-end and closed end, and calculating net asset value and fees and returns.

Stock Market: Primary and Secondary Market, understand the three forms of Market Efficient Hypothesis(important). To understand how markets are traded , difference betwwen dealer markets and specialist markets. Types of orders such as Stop loss order and Stop limit order. Bid-ask Spread, and Stock Splits. Also must undertand concepts of buying on margin, margin ratio, return, equity position.

Portfolio Theory: Calculate geometric and arithmetic average. Calculate Mean, variance and co-variance using either historical or scenario. Can use excel. To understand how the correlation and covariance affect portfolio risk:Two Asset diversification risk. Must understand Market Security line, and market characterisitcs line.

Systematic and Unsystematic risk. Caclulate Portfolio returns and variance. Understand concepts of efficient portfolios, optimal portfolio, minimal portfolio and risk free asset. Understand and calculate CAPM model.

Performance evaluation: How to calculate Sharpe ratio, Jesnsen Alpha, Treynor ratio and information ratio. Difference and comparison of these 4 meansures.

Stock Bond Pricing(very important): Apply the dividend discount model. The basic dividend discount model, Constant Growth dividend model, and two-stage dividend growth model. Caclulate bond price, YTM etc. Understand interest rate risk and understand duration and how to calculation price range

Others: Understand normal distibution. Calculate dividend yield , capital gain yield and most importantly understand calculation of different indexes- Price weighted index and Market value index.


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