Expect share you select to affect return

Assignment Help Finance Basics
Reference no: EM139417

Q. The analyst has modelled the stock of the company by using a Fama-French three-factor model. Risk-free rate is 3%, market return is 11%, return on the SMB portfolio (rSMB) is 3.9%, also return on HML portfolio (rHML) is= 5.4%. If ai = 0, bi = 1.2, ci = - 0.4, also di = 1.3, what is the stock's predicted return?

Correlation between shares A also B is= 0.50, whereas the correlation between shares A also C is -0.5. You already own share A also are considering of purchasing either share B or share C. If you wish your portfolio to have lowest possible risk, would you buy share B or C?

Would you expect share you select to affect return that you earn on your portfolio?

Go through the method of working out why C is the best option for portfolio?

Reference no: EM139417

Questions Cloud

What is the charge on each : A force vector points at an angle of 50.6° above the +x axis. It has a y component of +280 newtons. Calculate the magnitude of the force vector.
What is the mass of that sculpture : A rabbit runs in the straight line with a velocity of +1.6 m/s for a period of time, rests for 12 s, and then runs again along the equivalent line at +0.52 m/s for an unidentified amount of time. The rabbit travels the total distance of 1224 m, and i..
What is the new separation between charges : A cube of ice is taken from the freezer at -8.7°C and placed in a 97 g aluminium calorimeter filled with 351 g of water at the room temperature of 20°C. The final situation is observed to be all water at 19°C. What was the mass of an ice cube.
What is the speed of water in the bernoulli river : A 14 g bullet travelling at 247 m/s is fired into a 0.459 kg wooden block anchored to a 100 N/m spring. How far is a spring compressed to the nearest thousandth of meter.
Expect share you select to affect return : Would you expect share you select to affect return that you earn on your portfolio. Go through the method of working out why C is the best option for portfolio.
Standard deviation of returns of third company share is low : Provide suitable example of three companies with workings out of how third company has greater required rate of return even if standard deviation of returns of third company share is lower.
Expected return for benson industries : Find out the expected return for Benson Industries. Find out the average cash conversion cycle for Jolly Roger Company.
Forecasted interest expense on balance of debt : Suppose that all extra debt in the form of the line of credit is added at the ending of year that means that you must base forecasted interest expense on balance of debt at the commencement of year.
Return would you earn if you made investment : If the investment needs the outlay of $400 today,what compound percentage return would you earn if you made investment.

Reviews

Write a Review

Finance Basics Questions & Answers

  Time value of money

Time Value of Money project

  Prepare dated journal entries to record the transactions

Prepare dated journal entries to record the transactions shown above. Assume that Econ did not enter into a forward contract.  Prepare dated journal entries to record the transactions

  Depository financial institution

Create balance sheet for this depository financial institution. Describe fully with suitable reasons for your choice.

  Excess return each year should the actively managed

Find out excess return each year should the actively managed fund earn to overcome higher fees.

  Return would you earn if you made investment

If the investment needs the outlay of $400 today,what compound percentage return would you earn if you made investment.

  Calculate the risk

Calculate the risk and expected return for each asset.

  Value of the firm be if the company takes on debt

What will the value of the firm be if the company takes on debt equal to 100 each cent of its unlevered value?

  Investment management assignment

Prepare a report recommending the appropriate investment of AUD$3 million for a five year investment period for a particular investment client.

  Unemployment rate been affected over past two years

How has unemployment rate been affected over past two years by Fed's policy of quantitative easing.

  Develop plan that will generate an adequate amount of money

Develop a plan that will generate an adequate amount of money to retire at age 55 (if you are currently in your early twenties. If you are older, then you may provide an appropriate retirement age). Complete the analysis out to age 95 to ensure ..

  Describe how moral hazard and adverse selection materialized

Describe how moral hazard and adverse selection materialized during the financial failure of A.I.G

  What is the amount of your scheduled payments

What is the amount of your scheduled payments?

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