Assignment, Malaysia

Securities & Portfolio Management Assignment 101

So, recently I have been receiving stress-and-panic-induced questions about one of the subject I am taking this semester: Securities & Portfolio Management. We are assigned to analyze the effect of 3 events (Subprime Mortgage, 1MDB scandal, and Brexit) towards listed companies' performance (taking 25 companies as a sample) using Cumulative Abnormal Return approach. I am… Continue reading Securities & Portfolio Management Assignment 101