Week 2 discussion

Chapter 6 presented the approach the LEGO Group used to implement ERM, and chapter 9 presented a discussion and case study on implementing ERM in a higher education environment. Please explain how ERM adoption and implementation in the higher education (HE) environment differs from the for-profit environment. Cite specific examples from this week’s readings.
To complete this assignment, you must do the following:
A) Create a new thread by Thursday. As indicated above, explain how ERM adoption and implementation in the higher education (HE) environment differs from the for-profit environment. Cite specific examples from this week’s readings. In your explanation, discuss at least three points or aspects in which the implementing ERM in the two environments differ.
B) Select AT LEAST two (2) other students’ threads and post substantive comments on those threads, evaluating the pros and cons of that student’s recommendations. Your comments should extend the conversation started with the thread. Post by Sunday due date in the syllabus.
ALL original posts and comments must be substantive. (I’m looking for about a paragraph – not just “I agree.”)
NOTE: These discussions should be informal discussions, NOT research papers. If you MUST directly quote a resource, then cite it properly. However, I would much rather simply read your words.
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Week 2 Discussion

Need help with my Business question – I’m studying for my class.

Discussion 1:

Please respond to the following:

  • Discuss at least two advantages of ETFs over conventional mutual funds. Please provide an example of either a broad index or industry index.

Discussion 2:

Your first assignment is due next week. As you’ve probably noticed, analyzing the risk associated with investments is a crucial part of this assignment. As you complete this week’s discussion, remember to keep next week’s paper in mind as you research risk in investments.

  • Investors have varying degrees of risk tolerance. Define risk tolerance and provide an example of a risk tolerance profile that matches your own approach to the markets and investing. Explain whether you believe an investor should invest in risky and riskless assets. Support your answer with an example.
  • Determine whether adding securities to the portfolio reduces the portfolio risk as measured by the standard deviation and the benefits of diversification. Use historical data to examine the effects of including stocks and bonds in a portfolio. Provide support for your decision.

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