论文代写网风险利率

论文代写网

The structure of this dissertation is as follows:
Chapter1 (Introduction): This chapter provides a brief introduction to the PPP hypothesis and its significance in application. It also represents the aim and objective of this study.
Chapter 2 (Literature Review): In this chapter, the critical components of this study such as PPP, the state of closed-end funds in China and the discounts etc. are discussed. The main aim of this chapter is to establish the theoretical platform of the study using secondary research.
Chapter 3 (Methodology): This chapter presents the methodology implemented in this study which constitutes the basic financial theories and empirical researches. The aim of this chapter is to explain the method adopted to achieve the objectives of the study by introducing the choice of benchmark, risk free rate and the models used in this research.
Chapter 4 (Data Analysis): In this chapter, the methodology applied is interpreted and discussed on the basis of the entry period, different sub-periods, different benchmarks and different portfolios (grouped based on fund styles) respectively.

论文代写网

本论文的结构如下:
第一章(导言):本章提供了一个购买力平价假说,并简要介绍了其应用的意义。它也代表了本研究的目的和目标。
第2章(文学评论):在这一章中,这项研究的关键组件,如PPP,封闭式基金在中国的状态和折扣等进行了讨论。本章的主要目的是要建立理论学习用的二次研究平台。
第3章(方法论):本章介绍了在这项研究中,构成基本的财务理论和实证研究的方法实施。本章的目的是解释所采用的方法,以达到研究目标的选择基准,无风险利率和本研究中使用的模型通过引入。
第4章(数据分析):在这一章中,所采用的方法是解释和讨论的基础上,参赛阶段,不同的分时段,不同的基准和不同的投资组合(分组依据基金风格)。

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