FIN320- Futures Market
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“Futures Markets and Risk Management”
Imagine
that you are a financial manager. Determine three key drivers for
evaluation when considering whether to invest in the futures market,
indicating your likelihood to do so. Provide support for your rationale.
Justify
why using interest rate swaps is an effective way to control risk and
improve return for a fixed income portfolio. Provide support for your
justification.
“Portfolio Performance Evaluation”
Take a
position on the following statement: Conventional wisdom says one should
measure a manager’s investment performance over an entire market cycle.
Support your response with arguments from the text.
Determine
whether or not the universe of similar investment managers overcomes the
statistical problems associated with instability of beta or total
variability. Support your position.
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