Usetutoringspotscode to get 8% OFF on your first order!

  • time icon24/7 online - support@tutoringspots.com
  • phone icon1-316-444-1378 or 44-141-628-6690
  • login iconLogin

Financial Forcasting and Portfoliomanagement

Topic: Financial Forcasting and Portfoliomanagement

Paper details:

Second Order: Portfoliomanagement (with matlab):

You will find all relevant infos in the prepared folders. I would like to get a progressive delivery option, with a short feedback about the project ASAP and then a first draw on Saturday. (after that all 3 days) Further infos: For Matlab: Use the way given cin the practical and not the financial add-in – Please provide stage by stage screenshots for both projects, in order to add to the appendix -Make in-comments in Matlab (what you did) -Use a good but still simple (British) English (I am not native) -Target mark 80% and more. Please read all instructions before beginning and follow the steps we did in the tutorial (see PDFs). You will find the needed data, a prepared layout, some sources, the tutorials (which have to be followed) and the assignment attached.

In the subchapter asset-allocation and pool, you don’t have to describe what it is, but how the asset are allocated and how I chose them. You will find an inidcative answer in one of the documents I wrote. Further it should be mentioned, that the datas are choosen from the FTSE100, as written in the assingment. Please don’t forget, to give the empirical sources to the strategies and to the introduction. Finally, you will find an excel sheet with the prices (however you have to use the returns and therefore transform it) so that you can do the calculations and compare the different strategies with each other. For this please use the steps presented in the tutorials and put all the calculations in the appendix. Finally, present the result in tables and diagrams and explain them with empirical papers.

You can leave a response, or trackback from your own site.

Leave a Reply

Financial Forcasting and Portfoliomanagement

Financial Forcasting and Portfoliomanagement

Paper details:

You will find all relevant infos in the prepared folders.
would like to get a progressive delivery option, with a short feedback about the project ASAP and then a first draw on Tuesday. (after that all 3 days)

Further infos:

For Matlab: Use the way given in the practical and not the financial add-in

– Please provide stage by stage screenshots for both projects, in order to add to the appendix

-Make in-comments in Matlab (what you did)

-Use a good but still simple (British) English (I am not native)

-Target mark 80% and more
For the financial forcasting paper you will have to download the date from the oecd site and choose one additional country..
please take switzerland if possible
and on the first step where you have to replicate the results.. logically the results have to be the same as on the paper.. so you can check if it is right done
the needed paper for the financial forcasting is online
you can just google for it

Responses are currently closed, but you can trackback from your own site.

Comments are closed.

Powered by WordPress | Designed by: Premium WordPress Themes | Thanks to Themes Gallery, Bromoney and Wordpress Themes