Corporate Action
Portfolio
Technology
Bloomberg
Everything finance
100

Corporate action: 1 for 5; market cap no change

Reverse stock split, consolidation

100

Analysing how the structure of the portfolio contributes to the active performance.

Attribution

100

Triggered by event, written by machine

Automated news

100

Text analysis

TA, DS

100

Risks associated with a single instrument in your portfolio.

Unsystematic risks/diversifiable risks

200
Cash payout by a company to shareholders

Dividend

200

The liquidity, PE ratio and cash flow of the portfolio.

Characteristics

200

Trading strategy with pre-programmed trading instructions

Alog trading

200

Searching for news using NLP-enabled command for news about HSBC on 15/11 

NEWS ON HSBC YESTERDAY

200

Hedge funds, REITS, real estates, venture capital, art pieces, handbags

Alternative investment

300

Microsoft and Activision Blizzard

Acquistion

300

Another name of predicted risks

Ex-ante risks

300

NLP is the acronym for [].

Natural language processing
300

Portfolio analysis

PORT

300

Capital gain + income

Total return

400

A company reduces the number of shares outstanding by buying its own shares.

Stock buyback/repurchase

400

VaR is the acronym for this measure.

Value at risk

400

The studying of implications and reference of words; word meanings and relationship.

Semantics (Logical/Lexical)

400

List of corporate actions

CACT, CACS

400

Generally speaking, the yield curve of the US treasury in 2022 has shifted [].

Up

500

Share price after 5:1 stock split.  Share price before stock split was $10.

$2

500

A risk-adjusted measure that calculated excess returns over risk-free rate per unit of volatility.

Sharpe ratio

500

Using computer to study meeting transcripts and earnings call presentations to identify trending topics

Text analysis

500

Constructing portfolio/administration

PRTU

500

Generally speaking, the US CPI has [] in 2022 compared with 2021.

increased