Создан заказ №5807231
1 декабря 2020
Raising government debt in Malaysia due to cover crisis
Как заказчик описал требования к работе:
ДЕДЛАЙН 8.12.2020 23:00
You are a research analyst based in London for UBS, responsible for writing short- to medium- term reports for the institutional clients, that include world’s largest asset management firms and hedge funds. The readers of your report will use the findings, arguments, and con
clusions to guide their portfolio and trading decisions worth billions of pounds.
The head of your group, Mr Ostapchuk (Managing Director), has been increasingly concerned about COVID crisis. In particular, his main concern is the raising government debt in Country A. He would like to advise the bank’s clients on how best to think about this risk.
He asks you to prepare a report that addresses the following issues:
1. Understand the historical link between economic fundamentals, the financial sector, monetary and fiscal policy in your chosen country.
2. Understand how current situation and governemnt response (fiscal and monetary authority) affect financial and price stability.
3. Comment whether CB’s actions are effective or not.
As the reports are being sent to clients who have a view to invest, the report should be in a similar format. See the example from UBS and follow the structure and format. The report should be at least 3 pages per member (9 if 3 in group, 12 if 4 in group)
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Заказчик
заплатил
заплатил
200 ₽
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Гарантия сервиса
Автор24
Автор24
20 дней
Заказчик воспользовался гарантией для внесения правок на основе комментариев преподавателя
2 декабря 2020
Заказ завершен, заказчик получил финальный файл с работой
5
Raising government debt in Malaysia due to cover crisis.docx
2020-12-05 00:46
Последний отзыв студента о бирже Автор24
Общая оценка
4
Положительно
Работа выполнена достаточно быстро, но с некоторой просрочкой по причине сломанного компьютера. Оформление страдает у работы. Но в целом сотрудничеством довольны.