The term paper should review, summarize, discuss or otherwise present material on a narrowly defined area. The principal assignment is to determine what is known in a particular area and what is not known. I do not require that you actually carry out any empirical research, but you should be able to identify an important topic for research, discuss key methodological issues and data acquisition, discuss any findings and demonstrate why this topic is an important area for research. If you so desire, you can actually conduct the empirical or theoretical research.
The topic can cover any area related to options, futures, swaps or any derivative security. The text of the paper should adequately cover the subject, but should generally not exceed 25 typewritten pages. Ideas for topics can be obtained from the Journal of Futures Markets, Review of Futures Markets, and many other less specific finance journals (see me for a list and possible topic suggestions). Substance and writing ability are inseparable and your grade will reflect the quality of the product.
Here is my chosen topic: Regulation of Cattle Futures Markets: current status, what needs to be done.
I have an article from the journal from which to derive the findings and current status.
The paper should be done by tomorrow at 2 p.m
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