How does the efficient market hypotheses fit


Assignment

Address the following two-part assignment in 1200-1400 words (total for both parts).

Part 1:

Discuss in general terms how age, income, debt level, assets, marital and parental status, risk tolerance, time horizon, and general economic conditions should be taken into consideration when constructing an investment portfolio. Why is it important to have a diversified portfolio?

Part 2:

How does the Efficient Market Hypotheses fit in with a diversified portfolio? If the efficient market hypothesis is true, why is it still important to study stock fundamentals closely before purchasing any stock?

Format your assignment according to the following formatting requirements:

1. The answer should be typed, double spaced, using Times New Roman font (size 12), with one-inch margins on all sides.

2. The response also include a cover page containing the title of the assignment, the student's name, the course title, and the date. The cover page is not included in the required page length.

3. Also Include a reference page. The Citations and references should follow APA format. The reference page is not included in the required page length.

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Accounting Basics: How does the efficient market hypotheses fit
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