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BUS501 - Illustration of Business Analytics applied to Mutual Funds returns - Business analytics and statistics Assignment
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BUS501 - Illustration of Business Analytics applied to Mutual Funds returns - Business analytics and statistics Assignment
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Business analytics and statistics Assignment:
Internal code- MAS5413
Business analytics and statistics Assignment:
Questions:
How much do best case and worst case returns differ, measured by best quarter and worst quarter performance?
Do average returns differ across risk exposure levels of the fund, and if so, how much?
How different are (average) returns for mutual funds that aim for value, as compared for those that aim for growth?
Do returns differ among funds that charge fees, as compared to those that do not?
Is the asset level a good predictor for a higher return? In other words, do larger funds perform better overall?
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