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dc.contributor.authorKiu, Cher Han.en_US
dc.contributor.authorKoh, Choon How.en_US
dc.contributor.authorTan, Karen Li Meng.en_US
dc.description.abstractThis paper attempts to examine the factors that determine Singaporeans’ decisions towards investing and not investing in managed funds. Suggestions in academic literature indicate the presence of strong correlation between investors’ demographic and socioeconomic characteristics and their financial risk tolerance and this paper attempts to examine its validity in the local settings. Furthermore, the match between investors’ financial risk profiles and the type of funds invested is discussed.en_US
dc.rightsNanyang Technological Universityen_US
dc.titleManaged fund and its investors in Singapore.en_US
dc.typeFinal Year Project (FYP)en_US
dc.contributor.supervisorYoung, Martin Roberten_US
dc.contributor.schoolCollege of Business (Nanyang Business School)en_US
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Appears in Collections:NBS Student Reports (FYP/IA/PA/PI)
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