Banyan Investment-Creating an Optimal Portfolio for a Client
Case Code: FINC186 Case Length: 13 Pages Period: 2019-2020 Pub Date: 2022 Teaching Note: Available |
Price: Rs.300 Organization: Banyan Investment Private Limited Industry: Financial Services Countries: India Themes: Risk and Return, Optimal Portfolio, Portfolio Management |
Abstract Case Intro 1 Case Intro 2 Excerpts
Historical Risk and Return Trade-Off from Different Class of Assets
The risk and return trade-off analysis was a tough job due to the volatile nature of the market. Investing in the stock market had become more painful with share prices falling as quickly as they went up. Nevertheless, many people found themselves comfortable with the volatile nature of the market because they knew that in the long run, the share market would outperform any other class of assets. This was supported by the historical returns (Ex-Post ) of various stock markets around the world..
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