complete finance powerpoint 1

Principles of Finance I

Prepare a PowerPoint or Prezi Presentation to define the following terms, using graphs or equations to illustrate your answers where feasible.

  1. Risk in general; stand-alone risk; probability distribution and its relation to risk
  2. Expected rate of return, ^r
  3. Continuous probability distribution
  4. Standard deviation, σ; variance, σ2
  5. Risk aversion; realized rate of return, r
  6. Risk premium for Stock i, RPi; market risk premium, RPM
  7. Capital Asset Pricing Model (CAPM)
  8. Expected return on a portfolio, r^p; market portfolio
  9. Correlation as a concept; correlation coefficient, ρ
  10. Market risk; diversifiable risk; relevant risk
  11. Beta coefficient, b; average stock’s beta
  12. Security Market Line (SML); SML equation
  13. Slope of SML and its relationship to risk aversion
  14. Equilibrium; Efficient Markets Hypothesis (EMH); three forms of EMH
  15. Fama-French three-factor model
  16. Behavioral finance; herding; anchoring

Business School Assignment Instructions

The requirements below must be met for your paper to be accepted and graded:

Write between 750 – 1,250 words (approximately 3 – 5 pages) using Microsoft Word in APA style, see example below.

Use font size 12 and 1” margins.

Include cover page and reference page.

At least 80% of your paper must be original content/writing.

No more than 20% of your content/information may come from references.

Use at least three references from outside the course material; one reference must be from EBSCOhost. Text book, lectures, and other materials in the course may be used, but are not counted toward the three reference requirement.





ORDER YOUR ORIGINAL PAPER

Request for a custom paper or place a new order

Assignment Solutions For You


THE BEST CUSTOM ESSAY WRITING SERVICE AT YOUR FINGERTIPS

Forget All Your Assignment & Essay Related Worries By Simply Filling Order Form