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Portfolio Management in Practice, Volume 1 notes

CFA Institute - ISBN: 9781119743699

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View all 1 revision notes of Portfolio Management in Practice, Volume 1, written by CFA Institute. All Portfolio Management in Practice, Volume 1 notes, summaries, flashcards and study guides are written by fellow students or tutors. Get yourself a Portfolio Management in Practice, Volume 1 summary or other study material that matches your study style perfectly, and studying will be a breeze.

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INV4801 ASSIGNMENT 02 SEMESTER 02 2023: 355371
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INV4801 ASSIGNMENT 02 SEMESTER 02 2023: i) Calculate the expected active return, expected active risk and expected information ratio of this subset of managers, given the above allocations. ii) State whether each of the comments made by Cephas is correct or incorrect and explain your selection. iii) Given that assets under management is R100 million and excess return relative to benchmark is -7%, evaluate the current and proposed fee structures.

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INV4801 ASSIGNMENT 02 SEMESTER 02 2023: 355371
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INV4801 ASSIGNMENT 02 SEMESTER 02 2023: i) Calculate the expected active return, expected active risk and expected information ratio of this subset of managers, given the above allocations. ii) State whether each of the comments made by Cephas is correct or incorrect and explain your selection. iii) Given that assets under management is R100 million and excess return relative to benchmark is -7%, evaluate the current and proposed fee structures.

i See more info x
  • Exam (elaborations)
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  • by UNISAStudyNotez • 
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