I’m working on a finance case study and need support to help me understand better.
thereport will be aboutA study on risk management and portfolio management of investors in theequity segment with particular reference to the Saudi FinancialMarket.Including the following guidelines. It is very important to coverall the asspects and you can add all the needed headings and sub titlesto enurse that subject is fully covered.It is required tocheck the plagiarism is less than 15 % based on ithenticate.
Abstract
Introduction
Objective of the study
Literature Review and Previous Studies
Methodology
Population and the Sample Data:
Empirical Evidence
Research Findings
Conclusion
References