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Mutual Funds Performance - Case Study Example

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This case study "Mutual Funds Performance" discusses the statistical analysis of Mutual Funds Performance that was carried out with the objective of analyzing the factors that influence the returns on competing mutual funds over a five-year average period…
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Mutual Funds Performance
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Extract of sample "Mutual Funds Performance"

This was a vital study whose results are bound to shape the company’s investment policies in mutual funds, in the current market.

The analysis used the average return (AR) as the dependent variable and four other independent variables two of which were converted to dummy variables in order to capture their effect on mutual funds returns. There were forty-five funds analyzed with an average Net Asset Value of 28%, an average ER of 0.9%, and an average AR of 2.4%. The value of NAV after the first regression disqualified it as being statistically significant in influencing the variability of AR. After the second regression, which excluded NAV, the six variables had a 95% confidence interval and thus were statistically significant in explaining the variability of Average Returns of a mutual fund. Using the six independent variables, an equation that explains the following was obtained, and it helped to explain the following:

  1. 1% increases in ER increases the AR by 5.5%
  2. An FI mutual fund is expected to have lower returns by 8.2% than a DE, while an IE mutual fund is expected to have 11.3% higher returns than a DE.
  3. Comparing all the star funds, a four-star fund is expected to rake in the highest average in annual return.

The above results point out that the company should emphasize the six funds that have a significant effect on mutual funds and that the most suitable found to invest in is the four-star fund which has the highest amount of returns.

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