Looking for a project

Joined
6/11/11
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Hey I am looking to do a project as part of my curriculum in Financial mathematics. But I am unable to find the right suggestions for topics. Can you please suggest something with respect equity Evaluation, Portfolio management or Risk Management(VaR)
 
calculate 4-5 diff vars ex. historical var, normal var, monte-carlo var, hyperbolic var, stress var and discuss pros n cons of each.. thats the 1st suggestion that came to mind. n it will find direct application smwhr in the industry
 
say you are a fund management institution, you have diversified portfolio of assets, a mixture of stocks, bonds, REIT, alternative assets. Can you devise a hedging program?
 
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