FIN630-INVESTMENT ANALYSIS AND PORTFOLIO MANAGEMENT
04-MARCH-2013-FINAL TERM
OBJECTIVE WAS ALMOST FROM OLD PAPERS.
SUBJECTIVE CONCLUDE 2 THEORY QUESTIONS AND REMANING WAS NUMERICALLY.
1. LONG AND SHORT FUTURE OPTIONS
2. EXPECTED RATE AND RETURN
ABDUL RAUF-0301-2618688
MBA FINANCE- VU LICCS CAMPUS LAYYAH- MC100207926-
Rauf_gz@yahoo.com rauf.gz@gmail.com mc100207926@vu.edu.pk
Follow me on FB: APNA ROOFI
--You received this message because you are subscribed to the Google Groups "Virtual University of Pakistan" group.
To unsubscribe from this group and stop receiving emails from it, send an email to discussion_vu+unsubscribe@googlegroups.com.
To post to this group, send email to discussion_vu@googlegroups.com.
Visit this group at http://groups.google.com/group/discussion_vu?hl=en.
For more options, visit https://groups.google.com/groups/opt_out.
No comments:
Post a Comment