Topics 1 :
A case study : Analyse the Barclays bank annual report and critically evaluate how the efficient way of diversification reflects their investment to get success.
Topics 2 :
Analyse How Accounting Betas, systematic operating risk and financial leverage : A risk composition approach to the determinants of systematic risk reflects the joint stock company’s annual report if they want to achieve their 100% success.
For Each Topics requirement :
1. 2500 words(excluding appendix and bibliography),
2. need 6 parts (introduction, body, recommendation, conclusion, appendix and bibliography) with methodology and abstract at the begining of the report.
3. Graphs and data should be relevant and updated.
8 freelancers are bidding on average $175 for this job
Hello, The requirements are clear to me. I hold an MBA degree, and I am used to this kind of assignments. They will be 100% original. Please, let me know how soon you need them ready. Kind regards, Karina
Hi, i want to do work on this project and i done BBA in Marketing and now doing Msc Management. I must do work on your assignment Topic 1, because its truly related to me. thanks a lot