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Marketwatch Investment.edited

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Finance
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The University of Central Oklahoma
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Running Head: MARKETWATCH INVESTMENT 1
MarketWatch Investment: Part 3
Student’s Name:
Institution Affiliation:

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MARKETWATCH INVESTMENT 2
MarketWatch Investment: Part 3
The investment projects are progressing well, indicating positive returns. While the
investment portfolio is a few weeks old, results are positive despite having many economic,
credit, competitive, and capital market issues. The positive performance is originating from
better expense controls. In the peer group, expense levels are the lowest, which is impressive
because the investment is still young and is yet to achieve its set targets.
This investment portfolio's rationale is that the benefits of the funds originating from low
sovereign risks, adequate liquidity, and the absence of debts. The investment involves different
stocks of various companies. From the watch, the stocks invested in including; NYT, MSFT,
AAPL, M, and KO investment plans with my $100,000, among other assets, are indicating
positive returns. The portfolio includes both systematic and diversifiable risks. The systematic
risks here affect all assets and their related economic conditions. Therefore systematic risks
aren’t affected by diversification.
NYT shares, which I chose because of the shares' prevailing prices and the company's
good reputation, are reaping returns to the investment plan. The second asset is the MSFT stocks
are showing significant returns despite the market challenges facing the market. The growing
company profits of the company are making its capital market standing to improve. Their growth
rate is indicating a lot of reliability. There are many market fluctuations in the AAPL and KO
stocks, but they are not doing bad bearing in mind that their investment objective is long-term.
The other investment options for the company are showing better benefits, with an increased
percentage of growth.

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Running Head: MARKETWATCH INVESTMENT MarketWatch Investment: Part 3 Student’s Name: Institution Affiliation: 1 MARKETWATCH INVESTMENT 2 MarketWatch Investment: Part 3 The investment projects are progressing well, indicating positive returns. While the investment portfolio is a few weeks old, results are positive despite having many economic, credit, competitive, and capital market issues. The positive performance is originating from better expense controls. In the peer group, expense levels are the lowest, which is impressive because the investment is still young and is yet to achieve its set targets. This investment portfolio's rationale is that the benefits of the funds originating from low sovereign risks, adequate liquidity, and the absence of debts. The investment involves different stocks of various companies. From the watch, the stocks invested in including; NYT, MSFT, AAP ...
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Anonymous
Awesome! Perfect study aid.

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