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  • TNT Assignment: Financial Ratio Code Cracker
  • Strategic Asset Allocation During Global Uncertainty

    • Weina Zhang
    • Man Zhang
    • Ruth S.K. Tan
    • Zsuzsa R. Huszar
    • 商品編號:W18632
    • 商品分類:Exercise
    • 長度:9頁
    • 出版日期:2018-10-09
    • 學門:
      • Finance
    This exercise places the reader in the position of an investor, who, before 2017, had invested for almost 20 years. Since the financial crisis in 2008-09, this investor had stayed away from the US market. The investor's return from the previous year stood at a mere 2 per cent. Given that many political events would likely occur in 2017, the investor hoped to revise their investment strategies at the time by developing a more internationalized portfolio. Specifically, the investor was considering how to allocate capital among the existing 10 broker-recommended exchange-traded funds traded on the Singapore stock exchange and two exchange-traded funds in alternative assets traded in the US market. The investor also needed to provide additional cash flows for the education of their two daughters from year two onward for a total of four years. The investor was also willing to reshuffle the investment portfolio to put more weights into the US market. However, before making the revised investment decision, the investor needed to consider the expected returns and risks.
    詳細資料
  • Strategic Asset Allocation During Global Uncertainty - Student Spreadsheet

    • Weina Zhang
    • Man Zhang
    • Ruth S.K. Tan
    • Zsuzsa R. Huszar
    • 商品編號:W18631
    • 商品分類:Spreadsheet
    • 出版日期:2018-09-24
    • 再版日期:2018-10-09
    • 學門:
      • Finance
    Student spreadsheet for case W18632
    詳細資料
  • Strategic Asset Allocation During Global Uncertainty - Instructor Spreadsheet

    • Weina Zhang
    • Man Zhang
    • Ruth S.K. Tan
    • Zsuzsa R. Huszar
    • 商品編號:5B18N020
    • 商品分類:Spreadsheet
    • 長度:649頁
    • 出版日期:2018-09-10
    • 再版日期:2018-09-24
    • 學門:
      • Finance
    Instructor Spreadsheet for product 8B18N020.
    詳細資料
  • Strategic Asset Allocation During Global Uncertainty - Student Spreadsheet

    • Weina Zhang
    • Man Zhang
    • Ruth S.K. Tan
    • Zsuzsa R. Huszar
    • 商品編號:7B18N020
    • 商品分類:Spreadsheet
    • 長度:124頁
    • 出版日期:2018-09-10
    • 再版日期:2018-11-16
    • 學門:
      • Finance
    Student Spreadsheet for product 9B18N020.
    詳細資料
  • Strategic Asset Allocation During Global Uncertainty

    • Weina Zhang
    • Man Zhang
    • Ruth S.K. Tan
    • Zsuzsa R. Huszar
    • 商品編號:9B18N020
    • 商品分類:Exercise
    • 長度:9頁
    • 出版日期:2018-09-10
    • 再版日期:2018-09-24
    • 學門:
      • Finance
      • International Business
    This exercise places the reader in the position of an investor, who, before 2017, had invested for almost 20 years. Since the financial crisis in 2008–09, this investor had stayed away from the US market. The investor’s return from the previous year stood at a mere 2 per cent. Given that many political events would likely occur in 2017, the investor hoped to revise their investment strategies at the time by developing a more internationalized portfolio. Specifically, the investor was considering how to allocate capital among the existing 10 broker-recommended exchange-traded funds traded on the Singapore stock exchange and two exchange-traded funds in alternative assets traded in the US market. The investor also needed to provide additional cash flows for the education of their two daughters from year two onward for a total of four years. The investor was also willing to reshuffle the investment portfolio to put more weights into the US market. However, before making the revised investment decision, the investor needed to consider the expected returns and risks.
    詳細資料
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