Beruflich Dokumente
Kultur Dokumente
Student Name:
University:
University Of Chester
Critically discuss the key assumptions of portfolio management strategies towards risk and
returns in UK financial market.
What will be your main source of data?
Portfolio managers, Financial Market data, Bloomberg, Customers, Fund Managers, Employees
and Research data base.
SCHEMATIC MODEL OF THE RESEARCH TOPIC
Factors that you will look at to explain the
Phenomenon that is your focus of interest
Topic
Agreed?
Comments:
Supervisor
Signature:
-+-
Date:
YES / NO
http://www.dailyreckoning.com.au/questioning-investment-industryassumptions/2015/02/05/
http://www.warrenbuffett.com/3-warren-buffett-investment-success-tips/+
http://samcheekong.blogspot.co.uk/2012/10/how-to-build-optimal-portfoliowith.html, Liang 2012