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- Return and risk comparison of financial asset in Bangladesh
Return and risk comparison of financial asset in Bangladesh
- By Super Admin
- Published 9 September 2006
- Report, Assignment, Case Study and Term Paper
- Unrated
CONCLUSION
In this report we have discussed about different return and risk of BOC & BPL. Our main job was to determine the financial position of this company whether it is running good or not and gibe decision where to invest money on the basis of risk and return of the particular company. As we are very new in finance course so we face some problem while doing this assignment. But we have tried hard to complete this assignment successfully.
REFERENCES
Brigham, F. E; and Gapenski,C. (1996) Intermediate Financial Management,5th edition, U.S.A: Management Capital Elm Street Publishing Services.
Khan, A; Islam, S; and Khatun, K (1993) Stock Returns in Bangladesh: An Empirical Study, Journal of Finance and Banking, vol. 3. No.1, July.
Ahmed, M. F; Khan, H. R; and Islam, M. S. (1991) Industrial Financing Through Capital Market in Bangladesh Journal of The Asia Foundation, Dhaka and the Bureau of Economic Research, University of Dhaka.
Ross, Z; Westerfield, K; and Jaffe, H. (1996) Corporate Finance, 7th edition, U.S.A: Thomson.
Fabozzi, F. J.; Modigliani, F.; Jones, F. J.; and Ferri, M. G. (2002) Foundations of Financial Markets and Institutions, 3rd edition, Singapore, Pearson Pte. Ltd.
Monthly review report Dhaka stock exchange (1999 – 2003)
Annual report BOC & BPL
Website:
www.bangladesh-bank.org
www.financialexpress-bd.com
www.dse-bd.org
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