Highlights
To complete this assessment, you will participate in simulated stock market trading for six weeks where you will maintain and manage a portfolio record detailed below. At the end of the six-week period, you will write a report, using data gathered from the simulation and/ or relevant literature, that proposes financing, capital structure and dividend decisions to maximise profitability and shareholder return, including a critical evaluation of the corporate financial management approaches relevant to their particular investments. This must be in relation to strategic financial decision-making in maximising organizational profitability, including shareholder return.
Simulation Description
You will be given a hypothetical USD 1,000,000 to invest in shares of public-listed companies.
You must invest in at least five companies over the entire course of the game (six weeks), with new companies introduced to the portfolio each week.
You will track your stocks (companies’ financial performance) weekly, record the analytical results in your transaction register, and submit the register through Moodle each week (the following Thursday before 11:55 pm).
At least one of the invested public-listed companies must be investigated in greater detail, as part of the findings of the financial analysis report.
Please note that your grade will not be based on how your “investments” perform.
For your invested public-listed companies
Critical evaluation of the role of finance in
strategic planning and budgeting
Profit planning and cost controls
Critical evaluation of the role of finance in
Capital management
Critical evaluation of the role of finance in
Risk management
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