Describe, and defend your selections of Capital Markets Securities investment categories that would be suitable given the policy parameters and constraints of your directives.

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According to my policies and limitations, I consider stocks, bonds, ETFs, and REITs as capital market securities. Stocks offer long-term potential growth and dividend payments that can generate a steady flow of income. Because of their ability to make interest payments regularly and with a lower risk, bonds are another option.

ETFs offer diversification advantages that help to spread risks over multiple asset classes and sectors. This allows for losses in one sector or area to be offset with gains elsewhere. REITs offer investors the opportunity to have exposure to real property without owning it. This adds to diversification and offers some upside potential. Each of the investments meets my criteria and offers the opportunity for long-term growth. This is why they all seem to me suitable.

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