This order is purely for finance acadmic writer who also know havard intext referecing system, if you do not know both , please do not bid , we dont have time to dispute!
Write a Report for your client that /analyses investment possibilities and threats for the US Treasury market for the period in question, suggest investment alternatives , and details a risk-management strategy.
please check the guide for content requiment (highligted)
at least 3000 words require 15 academic havard reference, and all source data and theories should have refernces
need submit report and excel wook book
due 21-apr 10am uk time budget is around 100USD