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Finance Paper (Example)

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High Risk Investment Name Institution Professor Course Date Explain why investors may be attracted to high-risk investments such as exchange-traded derivatives global funds and other complex investment vehicles. Success in entrepreneurship is mainly grounded on the risks one takes and hence the phrase that “no risk no reward”. This therefore leads to the idea that excess returns are achieved through excess risks as it is well explained in the Capital Asset Pricing Model (CAPM) which whose concept was brought about by William Sharpe in the year 1964 and later developed by John Lintner in 1965 (Fama & French 2004). As an economic model CAPM evaluates securities stock assets and derivatives by simply equating risks to the expected returns. The model is essentially grounded on the fact that investors demanding additional returns should at the same time accept extra risks. It is therefore evident that there is a positive relationship despite the fact that there are chances of getting huge loses. Leveraged Oil ETFs are known to be high trading activity and hence offers investors with exponential returns or losses if not well checked. Therefore if this investment is well invested it becomes evident that huge returns can be achieved. This is mainly because its demand always remains high and hence offering a chance for huge returns. References Fama E. F. & French K. R. (2004). The capital asset pricing model: Theory and evidence. The Journal of Economic Perspectives  18(3) 25-46. Griffith-Jones S. (2009). How to create better financial regulation & institutions. Briefing Paper (2). McGillivary J. & Fung H. G. (2013). The need for ethical reform in the US financial industry. International Review of Accounting Banking & Finance  5(1) 18-46. Reilly F. K. & Brown K. C. (2002). Investment analysis and portfolio management. Seligman J. (2004). Fundamentals of securities regulation. Aspen Publishers Online. [...]

Order Description:

For this assignment, use the Internet to research high-risk investment brokerage firms that have been indicted or convicted of ethical violations to provide insight and understanding of this market segment. Write a six to eight (6-8) page paper in which you: Explain why investors may be attracted to high-risk investments such as exchange-traded derivatives, global funds, and other complex investment vehicles. Analyze the risk associated with exchange-traded derivatives, such as futures and options, and what brokers might do to minimize the risk to investors. Discuss the challenges related to regulating a complex global financial firm and make suggestions for regulatory improvements. Analyze the ethical violations of the company you researched. Discuss the consequences that you believe to be appropriate for the senior management of the firm you researched and the implications for brokers trading in high-risk investments. Create a scenario where you believe the use of high-risk investments would be beneficial for the investor. Provide support for your rationale. Use four (4) external resources to support your work. Note: Wikipedia and other Websites do not qualify as academic resources

Subject Area: Finance

Document Type: Research Paper

This project has already been completed by one of the Studybay experts. The client rated this project:

Project's rating is 5/5

Price $45

Words 550

Pages 2

Completed in 1 day

Expert Joness

Client Review

Thank you for your work. I really appreciate

Positive
09.10.2017

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