Investment Analysis and Portfolio Management Finance Homework Help

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To begin with investment analysis, it involves analysing past returns to make future returns predictions, selection of investment vehicle best suited for evaluating securities such as stocks, bonds for valuation. Investment analysis helps to determine the performance and the suitability of an investment for a given investor. Investment analysis serves as the key to perfect portfolio management. The investors can use different approaches like bottom up investment analysis, top down approach etc. for analysing the investment. Bottom up investment analysis emphasizes on analysing individual stocks for their profit like valuation, pricing power, management competence etc. also it focuses on the microeconomic approach to invest. While top down approach uses macroeconomic one to invest. It entrails on emphasising market, economic and industrial trends to allocate capital to specific companies. Some other investment analyses include technical analysis and fundamental analysis. Different patterns of stock prices and statistical parameters are evaluated by the technical analyses. Whereas the financial health and economic outlooks of a company are evaluated by the fundamental analyses. Investment Analysis and Portfolio Management Finance Homework Help shall throw light on the portfolio management strategy.

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Portfolio Management Finance


Portfolio management is the act of making decisions about investment policies, matching them to objectives, balancing risk and allocating assets for individuals and institutions. It helps in determining the strengths, weaknesses, risk involved in the choice of equity and debt, safety etc. There are two forms of portfolio management mentioned in Investment Analysis and Portfolio Management Finance Homework Help- passive management and active management. Passive management involves index investing which means tracking a market index. Active management involves a single manager or team of managers who attempt to cross the market return. Students can refer Investment Analysis and Portfolio Management Finance Homework Help for further information.

The key elements of portfolio management are mentioned below in the Investment Analysis and Portfolio Management Finance Homework Help.

• Asset Allocation: It is based on the fact that different types of assets do not move in same concert, few are volatile and few are not. Allocating assets seek to optimise the risk return policy of an investor by investing in assets that correlate lowly with each other.

• Diversification: Diversification is a process of spreading the risk and reward associated with an asset class. It is impossible to predict consistently the losers and winners, so one of the possible approach is to create a basket of investments so as to provide an exposure within the asset class. Diversification seeks to capture the returns of all of the sectors over time.

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