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Papers On Accounting & Personal Finance
Page 270 of 518
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Investment Assessments
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This 10 page paper looks at a case study provided by the student and tutors the student in how to calculate cost of equity, cost of debt, WACC, NPV and IRR. The bibliography cites 4 sources.
Filename: TEinvass.wps
Investment Banking
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A 7 page paper on Investment Banking. The writer provides some insight into precisely what Investment banking is, gives a little history of investment banking, and discussed some current investment banking issues. Bibliography lists 6 sources.
Filename: Bank.doc
Investment Banking
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A 9 page paper examining the investment banking industry - what it
does, who is involved and the extent of its reach. The paper discusses the state of investment
banking's current activities as well as trends for the future, including the continuance of the trend
toward consolidation of the industry. Employment in the industry represents high salaries and
bonuses, but also long hours. One author consulted reports that investment banking appears to be
about money, but that for some it is less about money and more about "gambling in a pinstripe
suit." The outlook appears secure for decades, as baby boomers in their peak earning years and
have an eye toward building the greatest wealth possible before and into retirement. Bibliography
lists 5 sources.
Filename: KSinvestBank.wps
Investment Basics
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A 3 page paper discussing many of the different types of
investments available to the astute investor and what he should look for when making his
investment choices. Briefly discussed are stocks, bonds, mutual funds and various
savings arrangements linked to investments (certificates of deposit and money market
funds), the benefits and disadvantages of each. Also discussed is how the overall state of
the economy can affect specific types of stocks. Bibliography lists 4 sources.
Filename: KSInvest2.doc
Investment Calculations
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This 4 page paper performs some calculations concerning investment returns. The first question looks at the average rate of return for two investments over the same period, the standard deviation and the difference in actual return, The second part of the paper uses a weighted average approach to calculate the beta of a portfolio where the betas of the individual investments have been given. The bibliography cites 2 sources.
Filename: TEinvcal.rtf
Investment Calculations
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This 26 page paper answers questions set by the student regarding different calculations for investment assessment. This includes calculating interest amounts that are payable, the rate of return on investments when the present and future values are given, the impact of compounding and discounting. The paper then looks at how to calculate earnings per share, price earnings ratio, the book value and the book to price ratio as well as the inventory turnover. Next, capital structure is considered with different equity and debt structures examined to see if there is a way of maximising company value, and finally, the use of different assessment tools such as net present value (NPV), internal rate of return (IRR) and profitability index are explained and demonstrated. In all parts of the paper the calculations are shown so the student can follow and replicate them.
Filename: TEinvque.rtf
Investment Choice; The Case for Amazon.com
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This 5 page paper considers the reason why Amazon.com may be a good long term investment for an investor looking for an internet based NASDAQ company. The paper looks at general conditions as well as the status and predictions surrounding the company and the current financial performance. The paper contains two graphs and the bibliography cites 6 sources.
Filename: TEamazn4.doc
Investment Concepts, Tools and Theories
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This 36 page paper examines a number of issues that are important to investors and portfolio management. Te paper looks at asset allocation, the section of investment with tools such as capital asset pricing model (CAPM) and efficient market hypothesis (EMH), multifactor models of risk and return, including Fama and French’s Three Factor mode, bonds and bond management, derivative analysis and the different types of swap contracts. The bibliography cites 25 sources.
Filename: TEinvesterms.rtf
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