Macro & Micro economics
This is a Financial Economics Essay.
The Topic is:
1) Explain the theoretical underpinnings of the Risk-Return Relationship in the CAPM and 2 )discuss the possible reasons for Bowman’s Risk-Return paradox.
Essay should Include 5-6 Graphs related to the subject given and also analysis and diagrams.
Marks are awarded according to the following criteria.
Achievement of the objectives of the question;
Logical structure of argument;
Demonstrated knowledge of relevant literature with proper citation of sources;
Use of appropriate arguments and analytical techniques;
Critical analysis of relevant arguments;
Accuracy of analysis/diagrams/arguments;
Clarity of explanation – fluency of written exposition, grammar and correct spelling;
Concision: concise expression