From the perspective of an institutional investor explain and discuss the process and purpose of investment portfolio diversification, and comment on whether investor losses in 2008 and 2009 can be attributed to a failure of diversification.
You should make reference to Markowitz's analysis of portfolio theory, and the following issues should be discussed:
How to construct optimal, efficient portfolio for a particular institutional investor using portfolio theft
Potential benefits of portfolio diversification for the investor, and how they arise
Assumptions and limitations of portfolio
Must be able to pass plagiarism test
1500 word count to be completed by 24/01/11
Full requirements will be submitted upon successful bid.
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