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Code: 14E00312
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MBA III Semester Regular & Supplementary Examinations November/December 2017
INVESTMENT & PORTFOLIO MANAGEMENT
(For students admitted in 2014, 2015 & 2016 only)
Max. Marks: 60
Time: 3 hours
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PART - A
(Answer the following: (05 X 10 = 50 Marks)
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-  Discuss the characteristics of investors, speculators and gamblers. Explain the impact of each on the investment process. OR --- Content provided by FirstRanker.com --- 
-  Explain the investment environment in India with classification of financial markets and financial instruments. 
-  How does technical analysis differ from fundamental analysis? Explain OR --- Content provided by FirstRanker.com --- 
-  A technical analyst explains that the stock market acts like a barometer rather than a thermometer- Elaborate. 
-  Determine portfolio risk involve with the help of following information. S.No Scrip Name Weight of scrip (%) Standard deviation (%) Correlation between 1 J 30 45 1 & J 0.90 2 70 10 OR --- Content provided by FirstRanker.com --- 
-  (a) If the expected returns of two stocks are same, but the standard deviations of the returns differ, which security is to be preferred. (b) If an investor desires diversification, should he/she seek investments that have a high positive correlation? 
-  What are the active and passive bond valuation strategies? Explain --- Content provided by FirstRanker.com --- 
-  Explain the following: (a) Dividend discount model. (b) Book value per share & market value per share. 
-  Explain the following: (a) Sharpe's single index model. (b) Capital asset pricing model. OR 
-  Define Markowitz diversification. Explain the statistical method used by Markowitz to reduce the risks. 
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PART - B
(Compulsory question, 01 X 10 = 10 Marks)
-  Case Study: --- Content provided by FirstRanker.com --- Give the following information: Economic condition Prob Return on stock - X(%) Return on stock – Y(%) High growth 0.30 28 20 Low growth 0.30 25 16 Stagnation 0.25 22 10 Recession 0.15 8 6 Questions: (a) Calculate expected return and standard deviation. Assume you are the investor. Which stock do you prefer? Give reasons. 
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This download link is referred from the post: JNTU Anantapur MBA 3rd Sem last 10 year question papers 2010 -2020 -All regulation- 2nd Year 1st Sem
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