buy assignment help on Financial Markets Investment Analysis

Order Description
this is a 2500 words course work. am given a company on the london stock exchange and am meant to discuss briefly the nature of activities of the company and its position in relation to the sector in an opening introductory page. am given ALLIANCE TRUST PLC.
my choosen writer must have a clear knowledge of regression analysis, finance and the ability to analyse and interpret results.he or she will have to send a draft for me from time to time to ensure he or she is on the right track. will upload some documents needed and a sample work done by my lecturer.

Assignment Question:

You will be given a company on the London Stock Exchange. Discuss briefly the nature of activities of the company and its position in relation to the sector in an opening introductory page.

(a) Using weekly data of the last one year (1 Dec 2013 – 30 Nov 2014), estimate the market model for the share and interpret the outputs of these regressions.
(30 marks)
(b Write an essay on each of the following:
(i) The yield curve,
(ii) the UK equity market risk premium
critically appraising the uses of these two concepts in finance. (20 marks)

(c) Plot the market value and the book value of the share over the last three years. Using the information from (a) and (b) calculate the Market Value Added of the share as on 1 Dec 2014 and compare it with the ‘Market Value added’ as computed using the information in (a) and (b) and ‘Economic Value added’ theory.
(15 marks)
(d) With reference to academic literature and empirical research, critically evaluate your results in (c) and advise the extent to which you think ‘Economic Value Added’ theory can offer explanations for the actual value added.
(30 marks)

Good clear presentation, referencing, spelling and grammar. (5 marks)

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