Order Number |
21213344555 |
Type of Project |
ESSAY |
Writer Level |
PHD VERIFIED |
Format |
APA |
Academic Sources |
10 |
Page Count |
3-12 PAGES |
Perform a literature-search of aviation related conference proceedings and select a short empirical conference paper (no more than 5 – 10 pages in length) to critique. Upload that article in pdf format for review along with your written assignment.
Summarize the study being discussed in your article and identify:
The independent and dependent variables.
What type of data is being collected.
What type of design is being used.
What type of statistical analysis is being employed.
In addition:
Do you agree with the researcher’s work?
Would you have selected a different design and statistical analysis for this research?
Justify your position with the information from your required readings from this module.
Use outside, reputable references also. For additional criteria, see rubric.
[Order Now]
.
Paper Formatting Requirements
Formatting: Follow APA formatting, including title and reference pages.
Page Requirement: Paper should be a maximum of 4 pages (APA format not including title page, abstract, or reference section).
Citations: Paper should contain reputable citations in addition to your selected conference paper if necessary to back up your statements and facts.
References: All references are properly cited.
Explanation Of The Investment Strategy Case Study
The paper should consider all publicly traded securities that we studied in this course (bonds, stocks, commodity and currency futures, options, mutual funds and ETFs) and geographic diversity. You don’t need to include all in your strategy, but you need to explain the rationale for the ones that you’ve chosen.
The strategy development can be conceptual or quantitative based upon your skill set. The final paper should be 3-5 pages including graphs and visuals. When submitting on mycourses, you must also include the live link to Medium and Twitter where it has been shared.
should include explanation of the investment strategy, asset allocation decisions, and critically analyse the potential (possibly back-tested) results of the portfolio management. The report preparation allows the students to revisit all learning points and practice with professional reporting.
The content of the report should include, but not limited to:
Executive Summary; identify the risk profile that you are addressing in your chosen strategy
Description of the Investment Strategy or Strategies used for each asset class or overall
Description of the asset allocation, if any;
Analysis of the market, macro-, industry and other factors affecting the investment decision.
Valuation of the market, or specific industry or company/investment;
Analysis of particular events and securities performance in anticipation / reaction to these events
Conclusion and lessons learned;
Criteria
Areas to consider
Weighting
Executive Summary
– Succinctly summarizes your report
10%
Investment Strategy (ies) and/or asset allocation
– Identify appropriate investment strategy or strategies fitting the IPS
– Develop and follow the asset allocation strategy
15%
Analysis
– Conduct macroeconomic, market, industry analysis, etc., and analyse how these affect your investment decision.
20%
Valuation
– Conduct valuation using methods covered during the course;
15%
– Analysis of particular events and securities performance in anticipation / reaction to these events
– Provide possible theoretical to observed trends, explain your own strategy in view of particular events
15%
Conclusion and lessons learned
– Critique of the portfolio – what would you have done differently knowing what you know now?
– How would you change your portfolio strategy and security selection process?
15%
Citations/
Spelling & Grammar/
Formatting
The report cites all data obtained from external sources. APA citation style is used in both text and references. No spelling &/or grammar mistakes. Report is professionally formatted.
10%