Download JNTUA (JNTU Anantapur) MBA (Master of Business Administration) 2019 June Supplementary 3rd Sem 17E00312 Investment And Portfolio Management Previous Question Paper
MBA III Semester Supplementary Examinations May 2019
INVESTMENT & PORTFOLIO MANAGEMENT
(For students admitted in 2017 only)
Time: 3 hours Max. Marks: 60
All questions carry equal marks
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SECTION ? A
(Answer the following: 05 X 10 = 50 Marks)
1 (a) Explain the economic and financial meaning of investment and differentiates investor from
speculator.
(b) What are financial markets and instruments? How do they support investors and stock
markets?
OR
2 What do you understand by stock markets? Write the role of BSE and NSE in price discovery.
3 Discuss and compare the main features of fundamental and technical analysis.
OR
4 Explain the nature and methodology of technical analysis. What are the differences between
?Bar charting? and ?Candle stick charting??
5 What is return? Explain different methods of calculating return.
OR
6 Explain in detail about the systematic risk with examples.
7 What are the basic valuation models of bonds? How do you calculate yield on bonds?
OR
8 Aswini Ltd has a 14% bond with a face value of Rs.100 that matures at par in 15 years. The
bond is callable in five years at Rs.114. It currently sells for Rs.105. Calculate: (i) Current
yield. (ii) Yield to maturity. (iii) Yield to call.
9 Modern portfolio theory helps in the optimal allocation of global resources. Comment.
OR
10 Explain Sharpe?s single index model in detail.
SECTION ? B
(Compulsory question, 01 X 10 = 10 Marks)
11 Case Study:
Determine portfolio risk if ?? ?? = 30, ?? ?? = 70, ?? ?? ?? = 25, ?? ?? ?? = 30, if ?? ????
is +0.80. Also
determine total return of A & B if return on security A is 28% and B is 32%.
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This post was last modified on 27 July 2020