"Literature review on risk and return analysis in automobile" Essays and Research Papers

Sort By:
Satisfactory Essays
Good Essays
Better Essays
Powerful Essays
Best Essays
Page 2 of 50 - About 500 Essays
  • Satisfactory Essays

    Risk and Return

    • 1156 Words
    • 5 Pages

    of 1.6 and a risk-free asset. How much should you invest in the risk-free asset? a. $0 b. $140 c. $200 d. $320 e. $400 ANALYZING A PORTFOLIO d 59. You have a $1‚000 portfolio which is invested in stocks A and B plus a risk-free asset. $400 is invested in stock A. Stock A has a beta of 1.3 and stock B has a beta of .7. How much needs to be invested in stock B if you want a portfolio beta of .90? a. $0 b. $268 c. $482 d. $543 e. $600 EXPECTED RETURN c 60. You recently

    Premium Investment Rate of return Probability theory

    • 1156 Words
    • 5 Pages
    Satisfactory Essays
  • Satisfactory Essays

    Risk & Return

    • 333 Words
    • 2 Pages

    Risk and Return Assignment Questions 1. Suppose a stock begins the year with a price of $25 per share and ends with a price of $35 per share. During the year it paid a $2 dividend per share. What are its dividend yield‚ its capital gain‚ and its total return for the year? 2. An investor receives the following dollar returns a stock investment of $25: $1.00 of dividends Share price rise of $2.00 Calculate the investor’s total return. 3. Below are the probabilities for the economy’s five

    Premium Stock Random variable Variance

    • 333 Words
    • 2 Pages
    Satisfactory Essays
  • Powerful Essays

    d RELIANCE CAPITAL ASSET MANAGEMENT LTD. (RCAM) SUMMER INTERNSHIP PROJECT REPORT ON RISK ANALYSIS AND PORTFOLIO MANAGEMENT May-July 2012 Submitted in partial fulfilment of the requirement of post graduate degree in international business and finance AMITY INTERNATIONAL BUSINESS SCHOOL‚ NOIDA Faculty Guide Submitted By: Ms. VIBHA SINGH SAURAV SINHA Industry

    Premium Investment

    • 8713 Words
    • 35 Pages
    Powerful Essays
  • Satisfactory Essays

    REVIEW OF LITERATURE * Ananth N Madhavan (2003) once a fairly esoteric subject‚ risk analysis and measurement have become a critical function for both portfolio managers and traders. Yet accurate measurement and analysis of risk presents many practical challenges‚ including the choice of risk model‚ portfolio optimization pitfalls‚ horizon mismatches‚ and out-of-sample testing. This detailed overview of recent developments in risk analysis and modeling focuses on practical applications. While

    Premium Investment

    • 528 Words
    • 3 Pages
    Satisfactory Essays
  • Good Essays

    INSTITUTE OF MANAGEMENT FINANCIAL SYSTEMS A PROJECT REPORT On RISK AND RETURN ANALYSIS & PORTFOLIO MANAGEMENT Of INDIAN AUTOMOBILE COMPANIES Submitted by‚ G.Abirami(9UTB02) M.Kamalam(9UTB13) N.Nirupa(9UTB18) P.Srilakshmi(9UTB32) INDEX CONTENTS PAGE NO. Acknowledgement Statement of Problem Introduction: Industry overview Company profiles Objectives Scope & Limitations Literature Review Research Methodology Analysis & Interpretation Findings Suggestions Conclusion Bibliography

    Premium Maruti Suzuki Automobile industry in India Automotive industry

    • 6790 Words
    • 28 Pages
    Good Essays
  • Powerful Essays

    TOPIC THE RISK ASSOCIATED WITH BUSINESS: A REVIEW OF LITERATURE LITERATURE REVIEW Being an entrepreneur and operating a business involves accepting risk. Business Owners are exposed to two primary kinds of risks: Financial risk and Business risk (Oscar Guzman). Financial risk‚ as defined by chron.com is the chance that a business does not generate enough revenue to pay creditors and meet other financial obligations‚ depends on the amount of debt the business owes. Business risk is independent

    Premium Management Risk Risk management

    • 1760 Words
    • 8 Pages
    Powerful Essays
  • Good Essays

    Portfolio RIsk and Return

    • 972 Words
    • 4 Pages

    1. Convert prices to total return (% change in the price) = (Pt – Pt-1) / Pt-1 2. Remove outliers – sort data and remove anything +/- 20% 3. Calculate historical average and historical risk X-BAR = Σx/n Calculate the sum of the total return and divide by the number of observations • Variance = σ2 = Σ(x – x bar) 2 / (n-1) Fix X-BAR‚ double click to apply to all dates‚ get the sum‚ divide by (n-1) Risk = σ = √σ = SQRT(Variance) = standard deviation 4. Average Matrix Excel Options

    Premium Variance

    • 972 Words
    • 4 Pages
    Good Essays
  • Good Essays

    Risk and return are most important concepts in finance. Risk and return concepts are basic to the understanding of the valuation of assets or securities. Return expresses the amount which an investor actually earned on an investment during a certain period. Return includes the interest‚ dividend and capital gains: while risk represents the uncertainty associated with a particular task. In financial terms‚ risk is the chance or probability that a certain investment may or may not deliver the actual/expected

    Premium Investment Finance Risk

    • 265 Words
    • 2 Pages
    Good Essays
  • Powerful Essays

    2010-11. Compute annualized return and risk. DATA | ANNUALIZED RETURN | ANNUALIZED RISK | Weekly | -16.952 | 36.449 | Daily | -16.241 | 39.347 | Monthly | -11.21 | 30.209 | Comparing this with a suitable peer company‚ Company | Annualized return | Annualized risk | JSP | -11.2154 | 30.209 | TATA STEEL | -4.0020 | 47.202 | OBSERVATION As can be seen from the observations above‚ the stock which gives the maximum return also comes with the maximum risk (TATA STEEL). So when it

    Premium Variance The Return Standard deviation

    • 807 Words
    • 4 Pages
    Powerful Essays
  • Good Essays

    Risk-Return Relationship

    • 889 Words
    • 7 Pages

    CHAPTER 22 estimating risk and return on assets 1. WHAT IS RISK? Risk is the variability of an asset’s future returns. When only one return is possible‚ there is no risk. When more than one return is possible‚ the asset is risky. The greater the variability‚ the greater the risk. 2. RISKRETURN RELATIONSHIP Investment risk is related to the probability of actually earning less than the expected return – the greater the chance of low or negative returns‚ the riskier the investment

    Premium Random variable Probability theory Standard deviation

    • 889 Words
    • 7 Pages
    Good Essays
Page 1 2 3 4 5 6 7 8 9 50