Risk and Return Analysis

Risk and Return Analysis Grading Guide

FIN/370 Version 10

Individual Assignment: Risk and Return Analysis

Purpose of Assignment


At the end of Week 3, students will complete an analysis on risk and return and the valuation of stocks and bonds. Students will then take the information they learned throughout Week 3 and determine why this content is important for them in their future endeavors.


Resources Required


Finance Chapter 7; Finance Chapter 8; Finance Chapter 9

Grading Guide

Content


Met

Partially Met

Not Met

Comments:

Explain the relationship between risk and return.

 

Identify an example of risk and return.

Explain which is more risky bonds or common stocks.

Explain how understanding risk and return will help you in future business ventures.

Create a 1,050-word analysis.

Total Available

Total Earned

#/X

Writing Guidelines

Met

Partially Met

Not Met

Comments:

The paper — including tables and graphs, headings, a title page, and a reference page — is consistent with APA formatting guidelines and meets course-level requirements.

The paper includes properly cited intellectual property using APA style in-text citations and a reference page.

The paper includes paragraph and sentence transitions that are logical and maintain flow throughout the paper.

The paper includes sentences that are complete, clear, and concise.

The paper follows proper rules of grammar and usage including spelling and punctuation.

Total Available

Total Earned

 

#/X

Assignment Total

#

#/X

Additional comments:

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