The impact of FIIs on Indian National stock exchange and how effective the Government is in Liberalizing and controlling the National Stock exchange?
Dissertation - 40 pages - Finance
The intention of this research was to examine the impact of Foreign Institutional Investors (FII) on the Indian National Stock Exchange (NSE). To achieve the aims, the following objectives have been determined to study how FII plays an important role in National stock exchange; to study...
Portfolio management and investment decision
Case study - 42 pages - Finance
A portfolio is a collection of securities since it is really desirable to invest the entire funds of an individual or an institution or a single security, it is essential that every security be viewed in a portfolio context. Thus it seems logical that the expected return of the portfolio....
Commodity markets Vs share markets
Case study - 77 pages - Finance
Indian markets have recently thrown open a new avenue for retail investors and traders to participate in: commodity derivatives. For those who want to diversify their portfolios beyond shares, bonds and real estate, commodities are the best option. Till some months ago, this wouldn't...
The strategy of investment and development of the French companies in Poland
Dissertation - 75 pages - Business strategy
This paper deals with the strategy of investment and development of the French companies in Poland. In a first part, the author discusses the theory of Foreign Direct Investment, more commonly called FDI: its different types and their alternatives, their motives, benefits and risks. In the second...
Financial Analysis - Vinci & Bouygues - published: 15/02/2011
Thesis - 20 pages - Finance
The following report presents the financial statements of two leading French construction groups: Bouygues and Vinci. With the help of several economic and financial metrics, we will analyze and assess the companies' strengths and weaknesses and give an objective opinion to potential...
Companies dividend policy - published: 11/07/2006
Thesis - 23 pages - Finance
Dividend policy is one of the most important financial policies, not only form the viewpoint of the company, but also from that of the shareholders, the consumers, the workers, regulatory bodies and the Government. For a company, it is a pivotal policy around which other financial policies...
Analysis of risk and return of mutual fund schemes at Standard Chartered Mutual Funds
Dissertation - 34 pages - Finance
Balancing of funds which includes issuing & collecting of funds in any economy is very important. There are many financial products in india, not only for balancing but also to provide liquidity for ideal capital, such as bank deposits, NSS savings, securities, insurance etc., which have some...
Efficient capital markets and the importance of behavioral finance
Essay - 7 pages - Finance
Efficient capital markets allow to consumers and companies to invest savings, borrow, and manage risk in the most effective way. Capital markets bring together companies, that seek to raise capital to invest in future performance and investors, who seek for a profitable return on their...
Commodity futures as a risk reduction and investment instrument
Case study - 58 pages - Finance
The Indian financial system consists of many institutions, instruments and markets. Financial instruments range from the common coins, currency notes and cheques, to the more exotic futures swaps of high finance. The regulatory institutions are the ones, which form the regulations, and control...
Initial Public Offerings: an Outlook through Game Theory - publié le 23/11/2006
Essay - 16 pages - Finance
Initial Public Offerings (IPOs) have a very special place in contemporary economics and finance. They represent the entrance on a deep and liquid market with access to almost unlimited reserves of capital from all over the world. But IPOs appear also as a short-term fund-raising tool, especially...
Pricing futures
Case study - 61 pages - Finance
Stock index futures began trading on NSE on the 12th June 2000. Stock futures were launched on 9th November 2001. The volumes and open interest on this market has been steadily growing. Looking at the futures prices on NSE's market, have you ever felt the need to know whether the quoted prices...
Comparative analysis of madcap fund with reference to Mahindra & Mahindra Financial Services Ltd
Case study - 35 pages - Finance
The Indian Mutual Funds Industry has witnessed a sea change since UTI was first established in 1963. From a single player the number of players has increased to 29 and the number of schemes has spiraled to 477. The last decade has been a period of rapid growth for the MF industry. The paper...
Security analysis and portfolio management in Collabo Interactive Solutions
Case study - 45 pages - Business strategy
Portfolio management is both an art and a science. It is a dynamic decision making process, one that is continuous and systematic but also requires a great deal of judgment. The objective of this project is to blend theory and practice to achieve a consistent portfolio management process. This...
Location determinants of foreign direct investment in real estate
Thesis - 23 pages - Business strategy
The global real estate market is complexly structured and highly competitive. In order to diversify the portfolio and to achieve the highest risk adjusted return, real estate firms invest across national borders. The choice of the most favorable location is of highest importance for the success...
The consequences of the financial crisis on theory and practical aspects of asset management
Dissertation - 55 pages - Finance
2007 is going down in history with the subprime phenomenon which came as a surprise to all market observers. According to P. Artus, Director of the Economic Research at Natixis , the word subprime was mentioned in 6,000 articles in the international press in 2006, 32,000 during the first 6 months...
NDSL: Depository functions and services
Case study - 51 pages - Finance
The Indian capital market has witnessed an unprecedented growth in the past few years, facilitated by modernization of the trading system. Automation of the trading infrastructure in 1994 has given us a trading system comparable with the best in the world. The establishment of a settlement...
Risk management in the asset management industry (risk measurement techniques): An evaluation of 'value at risk' tools
Tutorials/exercises - 112 pages - Finance
This Report is divided into two parts. Part I is introductory in nature containing brief profiles of global and Indian mutual fund industries, risk and the mutual fund industry, theoretical aspects of risk management process and various concepts associated with measurement of risks in...
A study and an in depth analysis of the Indian capital market
Tutorials/exercises - 33 pages - Finance
The medium capitalized segment of the stock market is being increasingly perceived as an attractive investment segment with high growth potential. However, the lack of awareness among the investors has not been able to prove much as per the above statement. Majority of the investors...
Portfolio management (risk and return) of inter-connected stock exchanges
Case study - 47 pages - Finance
Investment may be defined as an activity that commits funds in any financial form in the present with an expectation of receiving additional return in the future. The expectations bring with it a probability that the quantum of return may vary from a minimum to a maximum. This possibility of...
The consequences of the financial crisis on theory and practical aspects of asset management - published: 29/09/2010
Dissertation - 55 pages - Finance
2007 is going down in history with the subprime phenomenon which came as a surprise to all market observers. According to P. Artus, Director of the Economic Research at Natixis , the word subprime was mentioned in 6,000 articles in the international press in 2006, 32,000 during the first 6 months...
The subprime crisis in the United States and its impact on the European financial markets
Thesis - 91 pages - Economy general
It was in February 2007 that the current financial market crisis was revealed to the United States. Institutions specializing in subprime loans announced their first losses and provisions. The financial experts compiled several scenarios. Was this a temporary crisis that would correct the...
Managerial Finance
Course material - 12 pages - Finance
Financial markets: - Financing investments (for firms) ; - Inter-temporal allocation of cash-flows (for consumers/investors) ; - Risk transformation: risk-diversification and tis-transfer (for firms and investors). Companies are the unit of observation of this course (companies...
Explain the process of an Initial Public Offering (IPO). Critically appraise the various theories that have been proposed to explain the apparent 'underpricing' of IPOs
Essay - 14 pages - Stock exchange
When a company decides to sell stock for the first time (to "go public"), this operation is called Initial Public Offering (IPO). The target of the IPO is to: - Raise capital for the company and enable the first investors to realize their investment (VC Firms). The IPO practice requires...
Companies' dividend policy
Essay - 23 pages - Finance
The dividend policy is one of the most important financial policies, not only from the viewpoint of the company, but also from that of the shareholders, the consumers, the workers, regulatory bodies and the Government. For a company, it is a pivotal policy around which other financial policies...
Market analysis of IPO business in India
Market study - 27 pages - Finance
Like several other goods, which require a market place for buyers & sellers to come together, shares, too need a market where they can be sold & bought. The markets where shares are sold bought are either primary market or secondary market. The primary stock market is the place where the new...
Standard Chartered mutual funds
Thesis - 24 pages - Finance
Mutual funds are a topic, which is of interest to both investors and academicians all over the world. Mutual Funds as a medium-to-long term investment option are preferred as a suitable investment option by investors. However, with so many market entrants and a plethora of schemes...
Estimating market risk premium using Markov switching : Tunisian Case
Dissertation - 97 pages - Finance
The general increase in volatility of the nancial markets can be partly explained by the growing uncertainly of the economic environment. It is, on the other hand, a reflection of the growing efficiency and integration of the financial markets allow the almostinstantaneous move of capital...
The stock exchange and the big industries of India
Dissertation - 39 pages - Finance
Stock market is a broad term, which involves a number of markets in which securities are brought and sold. Stock markets often rise and fall. Before knowing why the stock markets are so volatile, let us understand about stock market and the investment options available to a potential...
The Modern Portfolio Theory (Advanced Corporate Finance)
Course material - 9 pages - Finance
The Modern Portfolio Theory occupies an important position in the investment management approaches. The theory is distinctive as its application enables investors to minimize the risk involved in investing in different classes of investment by diversifying it with the help of a portfolio....
Competitor analysis of financial securities industries: Religare
Case study - 36 pages - Finance
The securities markets in India witnessed several policy initiatives since the year 2000, which further refined the markets micro-structure, modernized operations and broadened investment choices for investors. The irregularities in the securities transactions in the last quarter of the...
