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MF0010 Security Analysis & Portfolio Management Set 2

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Joined: 07 Sep 2011
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PostPosted: Fri Sep 09, 2011 2:35 am
Post subject: MF0010 Security Analysis & Portfolio Management Set 2
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Master in Business Administration Semester 3
MF0010 Security Analysis and Portfolio Management - 4 Credits
(Book ID: B1208)
Assignment Set- 2 (60 Marks)

Note: Each question carries 10 Marks. Answer all the questions.

Q.1 Differentiate between ADRs and GDRs
Q.2 Using financial ratios, study the financial performance of any particular company of your interest.
Q.3 As an investor how would you select an equity mutual fund scheme?
Q.4 Show how duration of a bond is calculated and how is it used.
Q.5 Show with the help of an example how portfolio diversification reduces risk.
Q.6 Study the performance of any emerging market of your choice.
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