Finance

Analysis Different Securities and Manage Optimal Portfolio

Analysis Different Securities and Manage Optimal Portfolio

The prime objective of the report is to evaluate “Analysis Different Securities and Manage Optimal Portfolio”. The scope in this report is limited towards the overall description of the stock market, making a portfolio. Explain its services; its current position, its financial performance analysis the practical improvement of its operation. Here also identify and assess the present lucrative share in share market and calculate the possible return for selected share. Finally identify the findings and raise possible recommendations for improving the portfolio performance.