Recent Question/Assignment

Hi this is my assignment:

I am suppose to act as a consultant for a financial firm who seeks to expand its funds into the Asian Capital Markets (Singapore and Indonesia) so I am suppose to provide a research in regards to:

1. Compare and contrast factors that have influenced the individual and relative performance of Debt, Equity and Derivatives markets in each of the countries (Singapore&Indonesia) for the period 2005-2012.

Answer should

a. focus on pre-GFC, GFC and post GFC periods
b. Use quantitative and qualitative approaches to identify factors that have influenced BOTH returns and risks during the period
c. Compare and contrast factors affecting performance in the countries

2. BASED ON THE PRECEDING ANALYSIS, make observations as to factors expected to impact the debt and equity markets of the countries over the next 2 years (2014,2015)



P.S I would like to know what the tutor/expert will be using for the quantitative approach before I will make a decision because if it is relevant, then I trust that he/she will do a good job. If not I am afraid he/she will not know what this subject is about.

Also since it will be a research base, I will provide database from uni... but would really need to make sure he/she is good.