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Pages:
2 pages/≈550 words
Sources:
Check Instructions
Style:
APA
Subject:
Management
Type:
Essay
Language:
English (U.S.)
Document:
MS Word
Date:
Total cost:
$ 8.64
Topic:

Week IV Assignment. Securities Market. Management Essay

Essay Instructions:

Instructions
Compare and contrast two financial strategies about dealing with risk for a recent development in the securities markets. Identify the strategies you selected and how you can use them to mitigate the risk for the recent development you selected.
In this course, you will have to write a paper every week. The guidelines below should be followed when writing your paper.
Table of Content
Introduction
Body (use the five-layer headings described in the APA 6th. Ed.)
Conclusion
Your essay should be at least two pages in length, double spaced.
Use a minimum of three scholarly articles, in addition to the textbook, to support your work.
In-text citations and reference page must be properly formatted using APA style guidelines.
An abstract is not required.
References used must be within the last five years.
Reference and title pages do not count towards the minimum page requirement.

Essay Sample Content Preview:

Securities Market
Name
Institutional Affiliation
Course
Date
Table of Contents
Introduction……………………………………………………….3
Financial Strategies……………………………………………….3
* Value Averaging
* Dollar-cost Averaging
Comparison of the Financial Strategies…………………………..4
Conclusion…………………………………………………………4
References………………………………………………………….5
Introduction
The securities market is characterized by both rewards and risks to lose in the short and long term based investment plans due to its volatility. New investors and veterans as well must adhere to specific financial strategies to maintain the benefits stocks and equity funds offer. This paper will examine two financial strategies used to mitigate risks for the recent development in the securities market. Also, it will compare and contrast these strategies and ultimately explain how each is applied to provide a solution for this need.
Two financial strategies
Value Averaging
This is another financial strategy that has started to gain favor in the financial market. Value averaging aims at investing more when the share price reduces and invest more when the share prices increase (Shilling, 2019). It is conducted by computing the predetermined amounts for the total value of investments in the future. An investment is made to match each amount of the future period (Lai, Tseng & Huang, 2016). Value averaging is a type of finance strategy that assists to minimize timing risk.
Dollar-cost averaging
To gain in the long-term investment arrangement,...
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