Expected return subject to not exceeding standard deviation

Assignment Help Financial Management
Reference no: EM132029455

Assume that investors are maximizing the expected return subject to not exceeding standard deviation they are willing to tolerate. There are 2 assets available for all 1 investors. The first asset is the stock market which provides the expected return of 15% and has the standard deviation of 20%. The second asset is the bank account which pays the interest rate of 1%. There is no borrowing.

a) You invest fraction of your portfolio into the risky asset and the rest into the riskless asset. What is the expected return of your portfolio?

b) You invest fraction of your portfolio into the risky asset and the rest into the riskless asset. What is the standard deviation of your portfolio?

c) Using a) and b) derive the capital market line.

d) Draw the capital market line you derived in c) (drawing approximately by hand is perfectly ok).

e) Assume that the maximum standard deviation the investor is willing to tolerate is 5%. Which fraction of the portfolio does the investor allocate to a risky asset?

f) Assume that the maximum standard deviation the investor is willing to tolerate is 5%. What is the investor’s expected return?

Reference no: EM132029455

Questions Cloud

Discuss different motivational theories : Leading Organizations and Human Resources - discuss different motivational theories - compare and contrast these different theories
Describe the sampling distribution for the sample mean sale : Describe the sampling distribution for the sample mean sale price of the selected cards.
Discuss the advantages and disadvantages of mode choice : Discuss the advantages and disadvantages of each mode choice for this project.
Create weekly returns from the series of weekly index data : Create weekly returns from the series of weekly index data (Rm) the same way, being careful to line up the dates.
Expected return subject to not exceeding standard deviation : Assume that investors are maximizing the expected return subject to not exceeding standard deviation they are willing to tolerate.
How farmers products discloses the law suit : If Farmers Products used IFRS, how would the disclosures and /or journal entries differ from those under U.S. GAAP? Which of the following criteria is used.
List the sample space : a) List the sample space b) What is the probability that I will roll a 3 on one of them when I roll both at the same time?
What is an example where a non-parametric test are used : What is an example where a non-parametric test are used?
What information would you find on each statement : By the due date assigned, respond to the following in the Discussion Area below: What three financial reports would you use on a regular basis?

Reviews

Write a Review

Financial Management Questions & Answers

  Common stock and no preferred stock

Marie Corp. has $1257 in debt outstanding and $2560 in common stock (and no preferred stock). Its marginal tax rate is 40%.

  Present value of the tax benefits from depreciation

Your Company is considering a new project that will require $570,000 of new equipment at the start of the project. The equipment will have a depreciable life of 7 years and will be depreciated to a book value of $241,000 using straight-line depreciat..

  What is the cost of preferred equity and cost of debt

What are the capital weights? What is the cost of preferred equity? What is the cost of debt ?

  What is the total rent due for month

Assume a retail tenant is paying a base rent of $120,000 per year. In addition, the tenant must pay 10 percent of gross store sales in excess of $143,000 per month as percentage rent. If the store produces $170,000 in gross sales in a month, what is ..

  Assume that the cash is non-operating

Ginger Ale had sales of $980 million in 2013. Suppose you expect its sales to grow at a 8% rate in 2014, but that this growth rate will stay at the long-run growth rate for the apparel industry of 5% from 2015. what is your estimates of enterprise, f..

  How much has he accumulated

Juan Garza invested S114.000 10 years ago at 8 percent, compounded quarterly. How much has he accumulated?

  What are some of tax advantage of owning rather than renting

Vikki and Tim (ages 27 and 29) have been married for six months already, and they realize that Vikki’s apartment is a tighter fit than they expected. On Sunday afternoons, they take drives around different parts of the city to look at houses. What ar..

  Calculate the amount of his failure-to-pay penalty

Wilson filed his individual tax return on the original due date, calculate the amount of his failure-to-pay penalty.

  What would be the price per share just after the split

In September, the board of directors of Charles Steel approved a 4-for-1 stock split. After the split, how many shares of Charles Steel stock will an investor have if she or he owned 100 shares before the split? In the question above, if Charles Stee..

  Discuss few of key types of credit and liquidity risks faced

Discuss a few of key types of Credit and Liquidity risks faced by FIs and use examples of firms that have experienced distress or bankruptcy as a result of one.

  Best estimate of the aftertax cost of debt

What is your best estimate of the aftertax cost of debt?

  Financial analyst in the finance department

You have recently been hired as a Financial Analyst in the Finance Department of Zeta Auto Corporation which is seeking to expand production

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