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Investors towards mutual
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The investors’ perception, decision making, investment strategy etc., are closely related to the behavior of investors. Since, the need of study has been aroused in order to see the preference, awareness and the investors’ perception regarding the mutual funds in Pudukkottai district.
7p
murielnguyen
29-06-2020
22
5
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The present studied attempted to evaluated perception of the investors towards mutual fund schemes investments.
8p
orianahuynh
06-06-2020
17
3
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The Fund has not elected to early adopt IFRS, therefore it will adopt IFRS effective October 1, 2014. The Fund expects to report its financial results for the six month period ending March 31, 2015 prepared on an IFRS basis. The Fund will also provide comparative data on an IFRS basis, including an opening balance sheet as at October 1, 2013. Further revisions by the AcSB to the IFRS adoption date for investment companies are possible. The Manager has not identified any changes that will impact NAV per share as a result of the changeover to IFRS.
9p
hongphuocidol
04-04-2013
57
9
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Given these changes, it would be relevant to examine the present shareholding pattern of listed companies.
18p
quaivattim
04-12-2012
64
2
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Moreover, strategies that account for predictable active management skills tilt more heavily toward mutual funds that overweight technology and energy stocks during recessions, and financial and metals stocks during expansions, indicating that business cycle variables are key to timing these industries. Remarkably, predictable skill strategies also choose individual mutual funds within the outperforming industries that, in turn, substantially outperform their industry benchmarks, even though these industry benchmarks do not account for any trading costs or fees.
85p
quaivatdo
19-11-2012
66
3
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Thus, even though this investor disregards any possibility of active management skills, she holds actively managed funds to capitalize on predictability in benchmark returns and fund risk loadings in a way that cannot be accomplished via long-only index fund positions. Next, consider an investor who allows for predictability in active management skills. At the end of 2002, this investor optimally selects actively managed precious metals funds.
32p
quaivatdo
19-11-2012
40
3
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While almost any type of security can be used in a repo, funds prefer to have U.S. Treasury or other government obligations as the collateral for most of their transactions. For added security, the collateral must equal at least 102 percent of the loan amount. 7 The transaction is called a repurchase agreement because the securities are actually sold to the lender or investor at the beginning of the period of the loan; the borrower agrees to repurchase the securities at the end of the loan term, usually at the same price.
11p
quaivatdo
18-11-2012
58
5
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The investment game has changed over the past two decades. Historically, the challenge facing investors has been to identify good investments. While that’s obviously still important, investors increasingly recognize that that alone isn’t enough. Five good mutual funds can still make a bad portfolio, or at least one that’s inappropriate for a given investor’s goals. It’s becoming clear that investors must move beyond good versus bad investments and toward appropriate or inappropriate usage of investments, taking into account their time horizons and risk tolerance.
256p
transang4
01-10-2012
57
3
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The investment game has changed over the past two decades. Historically, the challenge facing investors has been to identify good investments. While that’s obviously still important, investors increasingly recognize that that alone isn’t enough. Five good mutual funds can still make a bad portfolio, or at least one that’s inappropriate for a given investor’s goals. It’s becoming clear that investors must move beyond good versus bad investments and toward appropriate or inappropriate usage of investments, taking into account their time horizons and risk tolerance.
254p
ptng13
17-05-2012
82
17
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CHỦ ĐỀ BẠN MUỐN TÌM
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