Investment Environment

Question 1

Would you please help me to read the case then answer 4 questions?

1.What should Chuck Todd do in the post-Brexit environment regarding investment in UK assets and why? Would you advise him to buy more, sell, short, or do nothing? Support your advice with an argument for your position.

2.Which sectors might fare well post-Brexit (and why)? Which ones may be candidates for shorting (and why)? Or, should he avoid investing in the United Kingdom altogether (and why)?

3.What are the risks of Brexit? What about opportunities? In your opinion, what might be a reasonable way forward for the United Kingdom regarding its relationship with Europe?

4.What does Brexit potentially mean for the EU? Is the EU’s future threatened? Or might Brexit present an opportunity for major cities/financial centers in continental Europe, such as Paris, Frankfurt, or Dublin, to take business away from London? Might Brexit be an opportunity for the EU to strengthen its cohesion and integration among its members?

Question 2

Choose any of the markets that are regulated in New Zealand What do you think causes the problems with market power in that market?

Doesn’t have to be very long and academic. Just need a clear idea with explaination.

150 words

 

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