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Assignment Requirements
this coursework about > Each student has $1,000,000 for investing in securities listed only on the US and T exchange markets (such as Amex, Nasdaq, NYSEARCA, OTCBB and NYSE).
Each student has $1,000,000 for investing in securities listed only on the US and T exchange markets (such as Amex, Nasdaq, NYSEARCA, OTCBB and NYSE).
Learning Outcomes
The main outcome behind this project is to evaluate your portfolio in the context of materials covered in this course. By the end of this simulation,

You will be able to define the types of derivative securities, interpreting their price quotes and calculating gains and losses from these securities
You will be able to consider the difference between the primary and secondary stock market with the role of dealers, brokers and the Securities and Exchange Commission (SEC)
Identify the influence of reasoning errors on investor decision and how investors tend to behave differently when faced with prospective gains and losses
Learn how to create a dedicated portfolio and minimize the uncertainty and reinvestment risk
You will be able to identify the effect of diversification on portfolio risk and why diversification works
Apply portfolio performance tools and manage a portfolio of domestic and international securities
Evaluate both quantitative and qualitative indicators of investment return and risk
Calculate and interpret the Sharpe ratio, the Treynor ratio and Jensen’s alpha.

Project Files

Using ETFs (http://finance.yahoo.com/etf) to maximize diversification without having to acquire multiple individual securities
Access Stocktrak on http://www.stocktrak.com to access your account each time you buy or sell a stock
Student may use the research option on http://www.stocktrak.com/research to access company financial statements, today market summary, best/worst ETF’s, earning releases, historical prices and how to trade videos.
Moodle for all project deliverables via turnitin.

I registrar in www.stocktrack.com, buying and selling stocks for investment analysis course in Finance

Deliverable 1 due on Sunday 9th of November 2014:

a written first draft focusing on the primary investment objective (for example: maximize your return or minimize your risk … etc). You should also include a specific rate of return objective as well as a risk level (beta) objective.
(N.B: students must register online for Stocktrak (getting username and password) and activate their accounts by doing at least ONE transaction)
Im using this book for this assignment >> fundamentals of investments valuation and management 7th edition until chapter 6
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