Articles liés à Advanced Economics of System Portfolio Exercise

Advanced Economics of System Portfolio Exercise - Couverture souple

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9783668794245: Advanced Economics of System Portfolio Exercise

Synopsis

Project Report from the year 2017 in the subject Business economics - Investment and Finance, grade: 1,0, language: English, abstract: Nowadays even young people should start thinking about building assets for their future. The task for this portfolio was to analyze the individual risk profile, the design of a portfolio and the active management of it. Before the building of a portfolio, there are some thoughts that must be taken into consideration. After a self-risk tolerance assessment follows the portfolio design strategy that describes the process of the portfolio construction. Then there will follow different analysis'. An investment breakdown and an analysis of potential market risks are essential for designing a portfolio. The analysis of potential risks includes a description of the market risks, equity and Fixed-Income Investments, too. This report ends up with a conclusion and the central result that it is important to start early with building financial assets and to reduce the individual costs.

Les informations fournies dans la section « Synopsis » peuvent faire référence à une autre édition de ce titre.

À propos de l'auteur

Markus Giesecke wurde am 15. April 1979 in Regensburg geboren und ist seit 2011 als freiberuflicher Übersetzer und Dolmetscher für die Sprachen Deutsch, Englisch und Spanisch tätig. Für die englische Sprache ist er als Übersetzer vor dem Landgericht Regensburg öffentlich bestellt und allgemein vereidigt. Der Schwerpunkt seiner Tätigkeit liegt auf der Übersetzung und Beglaubigung von Urkunden, Zeugnissen, rechtlichen Dokumenten, Gerichtsurteilen, Jahresabschlüssen etc.

À propos de la quatrième de couverture

Project Report from the year 2017 in the subject Business economics - Investment and Finance, grade: 1,0, , language: English, abstract: Nowadays even young people should start thinking about building assets for their future. The task for this portfolio was to analyze the individual risk profile, the design of a portfolio and the active management of it. Before the building of a portfolio, there are some thoughts that must be taken into consideration. After a self-risk tolerance assessment follows the portfolio design strategy that describes the process of the portfolio construction. Then there will follow different analysis¿. An investment breakdown and an analysis of potential market risks are essential for designing a portfolio. The analysis of potential risks includes a description of the market risks, equity and Fixed-Income Investments, too. This report ends up with a conclusion and the central result that it is important to start early with building financial assets and to reduce the individual costs.

Les informations fournies dans la section « A propos du livre » peuvent faire référence à une autre édition de ce titre.