Enhance the value of portfolio

Assignment Help Finance Basics
Reference no: EM133058301

The Kuala Lumpur CI is standing at 1650 now. You, as the fund manager under AT Asset Management Berhad, is managing a portfolio which tracks the performance of the Composite Index. With current equity market sentiments, you expect the Malaysian stock market to be stable over the next two to three months. You would like to use options to enhance the value of your portfolio so that your fund will perform better than the market although the market is being very stable. The following KLCI options are available:

October 1,640 points KLCI Call options @ 70 points

October 1,650 points KLCI Call options @ 60 points

October 1,660 points KLCI Call options @ 40 points

October 1,640 points KLCI Put options @ 50 points

October 1,650 points KLCI Put options @ 60 points

October 1,660 points KLCI Put options @ 70 points

Under the current market outlook, explain the best strategy to use in order to enhance the value of your portfolio. Provide your reason.

Draw a payoff diagram to illustrate your strategy.

Reference no: EM133058301

Questions Cloud

Earnings per share and the price earnings : Blue Corp. is evaluating an extra dividend versus a share repurchase. In either case, $4,000 would be spent. Current earnings are $0.93 per share and the stock
Hedge fund contracts and incentives to take risk : This question is loosely related to lecture 15 which briefly talked about hedge fund manager contracts. Our goal here is to think through how the hedge fund con
Calculate the price of the callable bond : GoGo Inc. plans to issue a perpetual callable bond that pays 11.4% annual coupons. The current interest rate is 8%. Two years later, there is 15% probability th
Describe causative microbial agent of botulism : Describe the causative microbial agent of botulism? Why was the doctor interested in Grandma's canned veggies? What is the treatment regimen for this disease?
Enhance the value of portfolio : The Kuala Lumpur CI is standing at 1650 now. You, as the fund manager under AT Asset Management Berhad, is managing a portfolio which tracks the performance of
Fund net asset value per share : Suppose the MilFord Equity Fund, an open-ended mutual fund, owns the following six stocks:
Critical understanding of the top network model : Demonstrate a critical understanding of the top network model with related key protocols, services, and applications.
Pathogenesis and current treatment strategies : Search current publications and write (type) a summary of Pathogenesis and Current Treatment Strategies of COVID-19
Price of the underlying asset falls : The buyer of a put and seller of a call O both are potential sellers of the underlying asset O both have rights and not obligations O a and c are correct O both

Reviews

Write a Review

Finance Basics Questions & Answers

  How does that transaction affect free cash flows

If the firm uses cash to repay debt, how does that transaction affect free cash flows for common equity shareholders in that period?

  Develop various budget charts that represent segments

Analyze the scope and sequence of budgeting in terms of sources of revenues, purpose of government expenditures, budget cycles, budget preparation, and debt administration.

  What will be the firm quick ratio

What will be the firm's quick ratio after Nelson has raised the maximum amount of short-term funds? Round your answer to two decimal places.

  What was the operating cash flow

Oscar's Dog Treats had a cash flow to creditors of $2,840, a cash flow to stockholders of $1,630 last year. The firm spent a net of $1,420 on fixed assets.

  Calculate the duration gap

Assume the modified duration of the assets is 3.6 and the modified duration of the liabilities is 2.8. Calculate the Duration GAP

  Bonds issued by the tyler food corporation have a par value

bonds issued by the tyler food corporation have a par value of 1000 are selling for 1270 and have 20 years remaining to

  Discuss the most important challenges of financial sector

Discuss the most important challenges of the financial sector. Defend whether you think regulatory changes are imperative. If yes, recommend changes. If no, justify your opinion.

  How much is the stock worth to you

It will pay no dividends after that. If you require a rate of return of 14 percent from stocks in this risk class, how much is the stock worth to you?

  What is the amount of the current assets

A firm in inventory, $1,8600 in fixed assets in accounts receivable, $210 in accounts  payable, and $70 in cash. What is the amount of the current assets?

  What is the interest rate forecast using expectations

What are the implications of anticipated future interest rate movements for net interest earnings, the bank's gap position, and securities management in the near future?

  How much is the company net working capital

Bear Tracks, Inc., has current assets of $2, 300, net fixed assets of $10, 600, current liabilities of $1, 415, and long-term debt of $4, 110.

  Distributing and rationing most government services

1. How does the mechanism for distributing and rationing most government services differ from that for distributing goods through markets?

Free Assignment Quote

Assured A++ Grade

Get guaranteed satisfaction & time on delivery in every assignment order you paid with us! We ensure premium quality solution document along with free turntin report!

All rights reserved! Copyrights ©2019-2020 ExpertsMind IT Educational Pvt Ltd