StudentShare
Contact Us
Sign In / Sign Up for FREE
Search
Go to advanced search...

Statistical techniques for investment, finance or economic problems - Essay Example

Cite this document
Summary
In 2002, in the aftermath of the technology meltdown, the Federal Reserve drops benchmark interest rates, and the ensuing loss of income for banks and lending institutions prompted the Wall Street bright boys to design new securities for investors such as pension funds, foreign…
Download full paper File format: .doc, available for editing
GRAB THE BEST PAPER94% of users find it useful
Statistical techniques for investment, finance or economic problems
Read Text Preview

Extract of sample "Statistical techniques for investment, finance or economic problems"

Download file to see previous pages

Five years later, defaults began kicking in as more homeowners were unable to refinance their loans or sell their depreciating homes, gradually snowballing into hedge fund suspensions and massive write-downs. The following year the snowball accelerated into an avalanche, effecting the closure or sell-out of financial stalwarts Bear Stearns, IndyMac Bancorp, Merrill Lynch and Lehman Brothers. The two largest mortgage finance companies, Fannie Mae and Freddie Mac, needed a bail-out by the Bush administration; not long after insurance giant American International Group (AIG) followed suit.

With the advent of the new administration, one of President Obama’s first official acts was to sign into law a $700 billion bailout in what is called the Troubled Assets Recovery Program (TARP) (Amadeo, 2009). The crisis spawned a credit crunch, prompting a substantial infusion of capital into the global financial markets by the United States Federal Reserve, the Bank of England, and the European Central Bank (Elliott, 2008). Financial institutions and intermediaries throughout the United States and Europe were thus severely affected in the contagion.

On the other hand, the Asian financial markets have exhibited remarkable resilience to the crisis that has engulfed the US and Europe. China can count on its over US$ 100 billion inflows from 2003 to 2007 (Rodman, 2009). India may be somewhat more affected, with some expected possible impact on credit availability. (Rediff India Abroad, 2008) However, there is still a chance that China and India may succumb, albeit belatedly and less severely, to the effects of the financial debacle. These countries were the largest contributors to reductions in global poverty in the last two decades, as confirmed by several academic studies.

However, they are now in danger of reduced economic growth, with a slowdown or even reversal in the poverty alleviation efforts. (Bajoria, 2008) With this

...Download file to see next pages Read More
Cite this document
  • APA
  • MLA
  • CHICAGO
(“Statistical techniques for investment, finance or economic problems Essay”, n.d.)
Statistical techniques for investment, finance or economic problems Essay. Retrieved from https://studentshare.org/miscellaneous/1555367-statistical-techniques-for-investment-finance-or-economic-problems
(Statistical Techniques for Investment, Finance or Economic Problems Essay)
Statistical Techniques for Investment, Finance or Economic Problems Essay. https://studentshare.org/miscellaneous/1555367-statistical-techniques-for-investment-finance-or-economic-problems.
“Statistical Techniques for Investment, Finance or Economic Problems Essay”, n.d. https://studentshare.org/miscellaneous/1555367-statistical-techniques-for-investment-finance-or-economic-problems.
  • Cited: 0 times

CHECK THESE SAMPLES OF Statistical techniques for investment, finance or economic problems

Economic Indicators' Impact on Different Stock Categories

The release of data pertaining to economic indicators is always eagerly awaited by investors.... hellip; It is not uncommon to see immediate swings in the stock markets following the release of economic data for the country.... Quite naturally, correctly anticipating the economic indicators and being on the “right” side of the market can prove to be extremely profitable for an investor.... Hence the importance to know is which of these indicators influence the stock markets most, and probably more importantly which economic indicators most influence which types of stocks....
25 Pages (6250 words) Research Paper

The Effect of Capital Structure on Share Prices based on the FTSE 100

tudies on Corporate finance by researchers like Kevin (2006) have debated over the consequences of examining the fragmentation of the firm's capital structure into various organizational parameters and have expressed the possibilities of analyzing their individual and collective influences on the movement of related share prices and their ultimate impact on returns to shareholders.... tudies by Modigliani and Miller (1958) conducted studies which demonstrate that in scenarios where the investment decisions are fairly stable, the market value of the firm stands invariant to its capital structure composition assuming that the financial markets are perfect in nature (i....
36 Pages (9000 words) Essay

Investment Strategy and Portfolio Management

Rigorous financial predicaments have come into sight concurrently in a number of regions, and the economic crises are being felt all through the universe as a consequence of the increased interconnectedness of the worldwide economy.... In this paper “investment Strategy and Portfolio Management” the author looks at the market dynamics that are driving the shift toward merchant funded and relationship loyalty programs; the unique aspects of these programs as compared to traditional loyalty rewards programs....
7 Pages (1750 words) Assignment

Efficient Market Hypothesis Of Thai Stock Market

Therefore, in the individual cases of SET100 for daily and quarterly data, the Durbin-Watson test values were closer to value two that meant no autocorrelation within the finance sector for SET100 daily and quarterly data for the period of 1st January 2010 to December 2013.... However, Durbin-Watson test reported for SET100 on monthly data revealed the autocorrelation within the finance sector of Thailand during 1st January 2010 and December 2013.... 06 that indicated autocorrelation in the finance sector of Thailand during four years period....
62 Pages (15500 words) Dissertation

Disciplinary Literacy Writing Project

or instance, many social, military decisions, economic and political decisions cannot be made without applying the statistical techniques like structuring an experiment to gain federal approval of a new medice.... Once the information is tabled, the actuarial interprets the meaning of the information to which t is concerned this is by explaining the complex mathematical data and interpreting the tables or charts or graphs for economic or social research ... Although the government is the largest employee of the actuarial, they can work in a number of places, mostly in insurance companies, Micro finance organizations, accountancy firms, pension funds, actuarial consultants, investment funds, life assurance companies but also can work in finance, marketing, government, manufacturing companies, and health care (Crews,35 ) ...
5 Pages (1250 words) Essay

Construction Management - Finance and Risk Management

After Turkmenistan broke free from Russia, the government has tried to build the physical infrastructure problems that aim at reconstructing Turkmenistan.... It is seen that the construction industry in any country has a very important role to play in the economic development of any country and also as a supplier of the physical infrastructure of the country....
14 Pages (3500 words) Essay

Financial Structure of Foreign Affiliates in China and Corporate Tax Rates

For example, the outbound foreign direct investment (FDI) position of American firms grew at an average annual rate of 11 percent to $2.... Foreign portfolio investment (FPI) has grown similarly.... n the midst of this rapid integration, investors and firms still face tax systems and investor protections that differ across countries, and these differences have the potential to affect major investment and financing decisions....
17 Pages (4250 words) Case Study

Application of Statistics in the Analysis of Financial Accounts

This will help overcome the weaknesses of the statistical techniques and help improve the analysis.... Though statistical techniques often provide very valuable information, they are prone to errors caused by mechanical and human mistakes.... Therefore, more detailed financial modeling techniques are required in order to deal with the problems in the new globalization era.... In addition, new financial products are created every day to meet customer's demands, making it even more necessary to use sophisticated techniques to solve problems....
6 Pages (1500 words) Coursework
sponsored ads
We use cookies to create the best experience for you. Keep on browsing if you are OK with that, or find out how to manage cookies.
Contact Us