Papers by zainib ali
Zainib Ali, 2020
Portfolio management is the process of managing money. Other terms commonly used to describe this... more Portfolio management is the process of managing money. Other terms commonly used to describe this process are investment management, asset management, and money management. Accordingly, the individual who manages a portfolio of investment vehicles is referred to as a portfolio manager, investment manager, asset manager, or money manager. Professional portfolio managers rely to varying degrees on portfolio analytics for identifying investment opportunities, keeping
portfolios aligned with investment objectives, and monitoring portfolio risk and performance. This chapter provides an introduction to the portfolio management process. It begins with an overview of asset classes. Investment objectives of institutional investors fall into one of the following two broad categories: non liability-driven objectives and liability-driven objectives. The chapter describes the main areas of portfolio management where analytics are used, review trends in
systems for portfolio analytics, and explains how the themes in this introduction map to the content of the chapters to follow
zainib name, 2020
ACKNOWLEDMENT I would like to express my deepest appreciation to all those who provided me the po... more ACKNOWLEDMENT I would like to express my deepest appreciation to all those who provided me the possibility to complete this report. A special gratitude I give to our final year project teacher, PROF SAEEDA BIBI HAMMAD, AHMED QURESHI AND ASIF HABEEB AHMED , whose contribution in stimulating suggestions and encouragement, helped me to coordinate my project especially in writing this report. Furthermore I would also like to acknowledge with much appreciation the crucial role of the my professors of university who gave confidence to me to complete the task .A special thanks goes to my team mates, who help me to assemble the parts and gave suggestion about the task. Last but not least, many thanks go to the head of the project, PROF HAMMAD AHMED QURESHI whose have invested his full effort in guiding the team in achieving the goal. I have to appreciate the guidance given by other supervisor as well as the my family and friends especially in my project presentation that has improved our presentation skills thanks to their comment and advices.
zainib , 2019
This project is related with financing activities of banking sector of Pakistan with 3 major list... more This project is related with financing activities of banking sector of Pakistan with 3 major listed banks.
Conference Presentations by zainib ali
zainib ali, 2019
This slideshare contained the information of Labour law in pakistan,
policies and regulation rel... more This slideshare contained the information of Labour law in pakistan,
policies and regulation related with Labour law in pakistan.
zainib ali, 2019
This slides are related with fraud scandal WASTE MANAGEMENT company USA. This scandal is biggest ... more This slides are related with fraud scandal WASTE MANAGEMENT company USA. This scandal is biggest fraud scandal of USA history, higher management is involved in this fraud with auditors of company(Author & ANDERSON co) later SEC imposed on them at 475 billion$.
zainib ali, 2019
This slides are related with WASTE MANAGEMENT COMPANY SCANDAL
which was biggest fraud scandal of ... more This slides are related with WASTE MANAGEMENT COMPANY SCANDAL
which was biggest fraud scandal of USA history.CEO, and higher management involved in this fraud.
Thesis Chapters by zainib ali
Zainib Ali, 2020
Portfolio management is the process of managing money. Other terms commonly
used to describe thi... more Portfolio management is the process of managing money. Other terms commonly
used to describe this process are investment management, asset management, and
money management. Accordingly, the individual who manages a portfolio of
investment vehicles is referred to as a portfolio manager, investment manager,
asset manager, or money manager. Professional portfolio managers rely to varying
degrees on portfolio analytics for identifying investment opportunities, keeping
portfolios aligned with investment objectives, and monitoring portfolio risk and
performance. This chapter provides an introduction to the portfolio management
process. It begins with an overview of asset classes. Investment objectives of
institutional investors fall into one of the following two broad categories: non
liability-driven objectives and liability-driven objectives. The chapter describes the
main areas of portfolio management where analytics are used, review trends in
systems for portfolio analytics, and explains how the themes in this introduction
map to the content of the chapters to follow
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Papers by zainib ali
portfolios aligned with investment objectives, and monitoring portfolio risk and performance. This chapter provides an introduction to the portfolio management process. It begins with an overview of asset classes. Investment objectives of institutional investors fall into one of the following two broad categories: non liability-driven objectives and liability-driven objectives. The chapter describes the main areas of portfolio management where analytics are used, review trends in
systems for portfolio analytics, and explains how the themes in this introduction map to the content of the chapters to follow
Conference Presentations by zainib ali
policies and regulation related with Labour law in pakistan.
which was biggest fraud scandal of USA history.CEO, and higher management involved in this fraud.
Thesis Chapters by zainib ali
used to describe this process are investment management, asset management, and
money management. Accordingly, the individual who manages a portfolio of
investment vehicles is referred to as a portfolio manager, investment manager,
asset manager, or money manager. Professional portfolio managers rely to varying
degrees on portfolio analytics for identifying investment opportunities, keeping
portfolios aligned with investment objectives, and monitoring portfolio risk and
performance. This chapter provides an introduction to the portfolio management
process. It begins with an overview of asset classes. Investment objectives of
institutional investors fall into one of the following two broad categories: non
liability-driven objectives and liability-driven objectives. The chapter describes the
main areas of portfolio management where analytics are used, review trends in
systems for portfolio analytics, and explains how the themes in this introduction
map to the content of the chapters to follow
portfolios aligned with investment objectives, and monitoring portfolio risk and performance. This chapter provides an introduction to the portfolio management process. It begins with an overview of asset classes. Investment objectives of institutional investors fall into one of the following two broad categories: non liability-driven objectives and liability-driven objectives. The chapter describes the main areas of portfolio management where analytics are used, review trends in
systems for portfolio analytics, and explains how the themes in this introduction map to the content of the chapters to follow
policies and regulation related with Labour law in pakistan.
which was biggest fraud scandal of USA history.CEO, and higher management involved in this fraud.
used to describe this process are investment management, asset management, and
money management. Accordingly, the individual who manages a portfolio of
investment vehicles is referred to as a portfolio manager, investment manager,
asset manager, or money manager. Professional portfolio managers rely to varying
degrees on portfolio analytics for identifying investment opportunities, keeping
portfolios aligned with investment objectives, and monitoring portfolio risk and
performance. This chapter provides an introduction to the portfolio management
process. It begins with an overview of asset classes. Investment objectives of
institutional investors fall into one of the following two broad categories: non
liability-driven objectives and liability-driven objectives. The chapter describes the
main areas of portfolio management where analytics are used, review trends in
systems for portfolio analytics, and explains how the themes in this introduction
map to the content of the chapters to follow