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(Al Khaliji)First Finance
Executive SummaryKCBK and First Finance are two financial institutions operating in Qatar and have maintained their goodwill among the customers and shareholders. This report comprises of macroeconomic valuables, industry valuables, financial analysis, stock price analysis and valuation of these two companies. Looking at ratio analysis of the two companies, it was noted that in terms of investment ratios KCBK was performing well as compared to FFCK. The report found out that inflation, GDP, interest ...Read Text
Small Business Finance
The paper 'Small Business Finance' is a great example of a Business Literature Review. Contrary to the Modigliani-miller theorem that haw a firm is financed is irrelevant to its value in a perfect market, a firm’s capital structure has a lot to do with its value. In other words, the capital structure adopted by a firm will greatly affect its value. This is because a capital structure may determine the level of bankruptcy and agency costs the firm is exposed to as well as tax savings the firm ...Read Text
ECON303 Banking And Finance
Risk Analysis in Foreign Exchange TransactionsEvery profit maximizing firm finds it vitally important to manage risks of various forms. In every venture, project or investment it would be expected that the management will assess the risk profile involved and based on management perception of risk, make a decision to continue with the strategy, change the approach or quit it. With the business interaction going global, then foreign exchange risk joins the portfolio of risks that modern managers must ...Read Text
Case Study (Accounting) - BUSINESS FINANCEIntroductionThere' are different phases in the economy such as boom, depression, recession,etc. The performance of the economy here is not cyclical as in the case ofdeveloped countries exhibiting business cycles, as the economy dependsbasically on growth rate of agriculture. Thus one important factor is die fiscal policywhich incorporates government expenditure and taxation, borrowing, deficit financing etc. which influences both the public and private sectors ...Read Text
Islamic Banking & Finance
© 2012Introduction Islamic banking is a corporate banking activity that operates within the confines of the principles of sharia law in developing Islamic economies. Sharia law as explained by Ansari (2005) does not allow for fixed (and/or floating) payment, as well as interest on loans, otherwise referred to as riba or usury. Any business that provides goods or services against the principles of Islamic law is considered haraam, translated to mean “sinful and prohibited” (Banaji, 2007). However, ...Read Text
Memorandum In order to present the company’s performance for the year 12, it was made an analysis of the most representative financial ratios, and a comparison with the industry performance. The comparison with the industry norm supports the research of Elliot and Elliot (2011), because it gives the company the opportunity to be judged directly against its competitors from the industry, rather than only against its previous year’s results.
These financial ratios were computed starting from a historical ...Read Text
Trading SimulationIntroductionThis paper deals with the trading relevant and regarding to the portfolio of a value of $2, 50,000. There exists a restriction regarding the markets. The trading in the markets Euro/US$, British/Pound/US$, Japanese Yen/US$ only should be examined and observed by the simulation of trading with the available notionally. 2. Trading on EuroThe available $2, 50,000 were invested in future trading of Euro, Yen and Pounds. The $1, 00,000 were invested in Euro, $1, 00,000 were ...Read Text
Banking And Finance
THE NAME OF THE UNIVERSITYBANKING & FINANCEMECHANISMS USED BY INVESTORS IN STOCK MARKETSTUDENT NAMEADMISSION CODELECTURER NAME8/31/2012 Describe the mechanisms used by investors in the share market to analyse and manage systematic and unsystematic risks. How do these risks affect share prices?Question: Describe the mechanisms used by investors in the share market to analyse and manage systematic and unsystematic risks. How do these risks affect share prices? IntroductionThe main reason of the ...Read Text
ISLAMIC BANKING & FINANCE
Future Prospects for Islamic Finance in the UKIntroductionThis paper briefly examines the current state of Islamic finance in the UK, and offers some insights into its prospects for the next decade. Worldwide, the Islamic finance sector is growing at 10%-15% annually, and the UK’s position as a leading financial centre plus the presence of a considerable Muslim population in the UK has made the country one of the leaders of Islamic finance (Ainley, et al., 2007).This essay will first briefly describe ...Read Text
About Finance And Accounting
SHARE REPURCHASES ARE A MUCH BETTER MEANS OF DISTRIBUTING FUNDS TO SHAREHOLDERS THAN DIVIDENDSThe emergence of Share Repurchases as an open option to Dividend Pay-outs available to firms in the distribution of earnings to stockholders has been the subject of researches and investigations to determine long-term implication since its popularity has substantially increased only during the last two decades. In 2008, financial economist Douglas J. Skinner published recent results of his study show the ...Read Text
Banking And Finance
1.0 IntroductionRisk in finance occurs when investors are faced with uncertainty in relation to the returns of their investments. An investor must ensure that a balance exists between the risk and returns in order to avoid financial loss. Maheshwari (2008) notes that all investors desire to maximize their returns while at the same time they aim at minimizing the risks that are associated with their investments. Investor must identify the appropriate techniques to utilize so as to manage the risks ...Read Text
@2010Modern portfolio theoryIntroductionModern portfolio theory is an investment theory which maximizes expected portfolio return relation to a specified amount of portfolio risk, or in equal manner reduces risk for a specified level of return through diligently selecting the proportions of the various range of assets. Modern portfolio theory corresponds to a formulation of the concept of diversification during investing, having the target of picking on a selection of investment assets that possess ...Read Text
Macroeconomics: Money and Finance
Macroeconomics: Money and Finance Lecturer: Describe some of the structural reasons of European labour markets that keep European unemployment rates high. Please explain the possible reasons briefly.
Structural unemployment involves an economic condition where people who are willing to work can not find a job due changes in economic demand (Tucker, 2011). Those changes may be attributed to technological, demographic and industrialization changes respectively (Tucker, 2011). This may further force ...Read Text
Finance Article The Reason for Writing the Article Ever since the financial crisis has engulfed the United s, there is a common belief that China has surpassed the U.S and has become the worlds leading economy. The authors main aim is to thrash this misconception prevailing among ordinary Americans.
The Key Question in the Article
Ever since 2009, it is a common perception among the people of U.S and media that U.S.
economy is not a leading economy. Author has tried to prove through numbers that ...Read Text
Principles of Corporate Finance
The paper 'Principles of Corporate Finance" is a good example of finance and accounting coursework. Generally and in a broad sense, investment signifies the use or employment of capital for purposes of gain. However, from a strictly financial standpoint, modern investment is the surrendering of purchasing power to another with a view to obtaining a profit in addition to the return of the amount surrendered. There are two fundamental considerations entering into the making of the investment. ...Read Text
Business Finance- TESCO
Investment in join t venturesAnd associates41647631430562Other investments7484259Derivative financial Instruments2161478Deferred taxes14123210421Inventories13091464193124302669Trade and other Receivables769892107913111798Derivative financialInstruments7010897382Current tax assets869Cash11461325104217883509Non-current assetsHeld for sale168408308398Trade and other payables 49745083604672778522Financial liabilitiesBorrowings4821646155420844059Derivative financialInstruments23987443525Current tax liabilities221462461455362Provisions324410Current ...Read Text
International Finance Currency Trading
The paper "International Finance Currency Trading" is a brilliant example of a term paper on finance and accounting. The current exchange rate for EUR/USD is 1 Euro for 1.1285 US dollars, according to Google Finance. Figure 1 shows a graphical representation of changes in the value of the Euro over a period of one year. The graph shows a decreasing trend in the value of the Euro relative to the US Dollar with frequent fluctuations in between.
Many factors have influenced the current value of Euro ...Read Text
Advance corporate finance
Topic: Advance Corporate Finance and Question One Critically evaluate the strengths and weaknesses of the CAPM
Investors are said to be rational and undertaking investment is a risky activity. Investors expect adequate compensation for the risks they take in investment activities. CAPM is a tool used by investors in assessing and evaluating the risks involved in investing in a given security. Systematic and market risks affect returns on investment (Wajeeh & Trainor, 2008, p. 243). Financial instruments ...Read Text
27 June Introduction The man International Monetary Fund (the IMF) is to promote global economic stability and growth (Fritz-Krockow and Ramlogan 1). This mandate is clearly exhibiting that the IMF’s every global economic effort and policy must be in cognizance with its fundamental objectives and it must not have anything that is in contradiction with its stated fundamental objectives. However, in this regard, it is important to mention that it is the IMF’s mandate to pursue and recommend those ...Read Text
May 11, 2012.Index Abstract Chapter I: Personal FinanceIntroduction Elements of the investmentInvestment goals and objectives Return and RiskInvestment PhilosophyAsset AllocationChapter II: Investment PortfolioBullion Market GoldSilver PlatinumStock market Qatar TelecomIndustries Qatar Co. United Development Co.Qatar Gas Transport Co.FOREX Market USD/QAREUR/QAR GBP/QAR JYP/QAR Chapter III: Return OutcomesConclusionReferences Appendices AbstractThis report will account for investment undertaken for ...Read Text