MBA
BANKING AND FINANCE-IV SEMESTER
MBF
401 PROJECT APPRAISAL, FINANACE, MANAGEMENT
BOOK
ID:B1409
ASSIGNMENT
(60 MARKS)
Answer all the questions. Each
question carries 10 Marks.
1. Explain
various tools used to identify the investment opportunities.
2. Explain
nature of work schedule and the purpose it serve.
3. What is
relevant cash flow in capital budgeting decisions?
4. Describe the methods used
by financial institutions to analyse risk.
5. Describe the common
characteristics between private equity and venture capital.
6. Explain post Audit.
MBA
BANKING AND FINANCE-IV SEMESTER
MBF402
TREASURY MANAGEMENT
BOOK
ID:B1311
ASSIGNMENT
(60 MARKS)
Answer all the questions. Each
question carries 10 Marks.
1. Explain about Asset Liability
Management in detail.
2. Discuss in detail about primary
market, its features and types
3. What are the tools available for
managing risks?
4. Describe ERM and classify the differences between
futures and forwards contracts
5. What are the functions and benefits of integrated
treasury?
6. Explain the concept of asset and liability
sensitivity of portfolio and the various strategies for
controlling IRR.
MBA
BANKING AND FINANCE-IV SEMESTER
MBF
403 CRM AND IT IN BANKING
BOOK
ID:B1410
ASSIGNMENT
(60 MARKS)
Answer all the questions. Each question
carries 10 Marks.
1. How is CRM important in financial
services industry?
2. Explain the process of
implementation of Siebel and its advantages
3. Write short notes on the following:
a. Bank NET
b. COMMET
c. RBINET
d. INFINET
4. Explain Analytical CRM.
5. What is the role of information
technology in finance and service delivery?
6. Explain Certified Information Systems
Auditor (CISA) and the effects of technology on
auditor.
MBA
BANKING AND FINANCE-IV SEMESTER
MBF
404 INTERNATIONAL FINANCIAL MANAGEMENT
BOOK
ID: B1759
ASSIGNMENT
(60 MARKS)
Answer all the questions. Each
question carries 10 Marks.
1. Explain Asian
Financial Crises.
2. What are the
economic risk indicators?
3. Explain methods
of capital budgeting.
4. Define the factors that determine the exchange
rates.
5. Define the tools of foreign exchange risk
management.
6. Define the benefits of FDI.
MBA
BANKING AND FINANCE-IV SEMESTER
MBF
405 CORPORATE GOVERNANCE, ETHICS AND COMPLIANCE
BOOK
ID: B1411
ASSIGNMENT
(60 MARKS)
Answer all the questions. Each
question carries 10 Marks.
1. Explain the
theory of rights and theory of justice.
2. Describe banking
crimes
3. Explain the
theory of ethical leadership
4. Describe
unethical practices in selling financial products.
5. Explain the roles
of external Corporate Governance mechanism
6. Explain the
framework for managing compliances risks.
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