Investment Strategies and Portfolio Management

below are some question and need to write answer of these below every question( answers )contents from the book which i am attached as a addition file written below .these contents are the answer of every question i just required the answer of these question from that content (book) each question should be about 400-450 words answer and should be plagiarism free

Tasks –

1. Critically evaluate the Investment Management Process referring in particular to aspect of investment and financing, direct and indirect investment and investment environment.

1.1 ‘’ 1.2 ‘’1.4

2. Critically evaluate the concept of Risk and Return in relation to investments giving consideration to aspects of fundamental and technical analysis



Add 4.2.2


3. Explain your understanding on Capital Asset Pricing Model


3.2 ‘’ 3.3 ‘’ 3.4

4. Critically evaluate formation of stock portfolios including strategies for investing in stocks

4.4 ‘’ 4.5 explain stock and stock market

Explain stock portfolio

5. Critically evaluate the importance of Derivatives, Forward Contracts, Options and Futures as new instruments for investments

(Each Task should be in lengths of about 350-400 words)




• The Assignment should be submitted in report format and should be in range of 2000 to 2200 words in total

Compétences : Écriture de Livre, Recherche Financière, Rédaction de Rapport, Rédaction scientifique, Traduction

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