Research Paper On Portfolio Management In India
Click on any of the term papers to read a brief synopsis of the research paper. The essay synopsis includes the number of pages and sources cited in the paper.
Approaches to Property Portfolio Management
This 9 page paper looks at the different approaches that a fund management for an investment portfolio manager may adopt where the investments are 100% in property. The general investment approaches of passive, active and post modern portfolio manager are considered along with their viability for a property fund manager. The bibliography cites 7 sources.
Portfolio Balance Model
This 8 page paper is written in two parts. The first part of the paper looks at purchase power parity theory and portfolio balance model, explaining what they are and the way they may help to explain exchange-rate movements. The second part of the paper looks at portfolio balance model in more detail considering the relevance of portfolio balance model for foreign exchange dealers. The bibliography cites 6 sources.
Management of Stocks and Bonds Portfolios
In twelve pages this paper discusses a 600 million dollar portfolio management of stocks and bonds in a consideration of assessment methods, performance, equity instruments, debt instrument selection, allocation of funds, and equity management. Twenty sources are cited in the bibliography.