Funds between market portfolio and mutual fund

Assignment Help Financial Management
Reference no: EM131520349

1. If you want to allocate your funds between a market portfolio and a mutual fund, and given that you calculated the following statistics for each mutual fund individually which performance measure is the most relevant in this case??

2. According to the mean-variance criterion, which one of the following investments dominates all others?

E(r) = 0.15; Variance = 0.25

E(r) = 0.10; Variance = 0.20

E(r) = 0.15; Variance = 0.20

E(r) = 0.10; Variance = 0.25

3. Consider a two-factor model, with factors E and F. A factor portfolio (i.e., a factor mimicking portfolio) for factor E has the following properties (select all that you think are correct):

it has a beta of one on E

it has a beta of zero on E

it has a beta of one on F

it has a beta of zero on F

it is well-diversified

it is not necessarily well diversified

Reference no: EM131520349

Questions Cloud

Is exchange rate risk relevant to firm value : What is the inflation premium? Where do we see this concept applied most often? Is exchange rate risk relevant to firm value? Discuss three different arguments.
What is its marginal tax rate : Mouton Limited, Inc faced an after-tax cost of debt of 8.4% and a yield to maturity of 10.0%. What is its marginal tax rate?
Estimate of intrinsic value per share : What is your estimate of DEQS’s intrinsic value per share?
Calculate the operating cash flow for the year : Calculate the operating cash flow for the year by using all three methods-adjusted accounting profits
Funds between market portfolio and mutual fund : If you want to allocate your funds between a market portfolio and a mutual fund,
What arbitrage strategy has positive profits : what arbitrage strategy has positive profits? Make sure you are state exactly what happens in each period.
What is your expected one year holding-period return : What is the intrinsic value of a share of Xyrong stock? what is your expected 1-year holding-period return on Xyrong stock?
Characteristics and advantages for forecasting : Assess the approach you selected, identifying its characteristics and advantages for forecasting.
Risk analysis in the capital budgeting process : Examine capital budgeting and/or risk analysis in the capital budgeting process either within a broad industry context or within the healthcare field.

Reviews

Write a Review

Financial Management Questions & Answers

  Consistently pays out its earnings as dividends

If you want to value a firm that consistently pays out its earnings as dividends, the simplest model for you to use is the A) enterprise value model. B) Method of comparables. C) dividend-discount model. D) Discounted free cash flow model.

  Hsieh-hseih inc must choose between two copiers the zz20

1. hsieh-hseih inc. must choose between two copiers the zz20 or the gg50.the zz20 costs 300 and will last for three

  Management indifferent between status quo and alternative

The Toronto Maple Laughs unexpectedly announced that they will reduce next year's annual dividend to $1.75 from the $3 they were anticipated to pay, and use the extra funds to recruit (higher) quality players. What growth rate in dividends would be n..

  Incremental cost of going outside versus conducting survey

Each year, Sunshine Motos surveys 7,500 former and prospective customers regarding satisfaction and brand awareness. For the current year, the company is considering outsourcing the survey to Global Associates, who have offered to conduct the survey ..

  In perfect world capital market

In a "perfect world" capital market, how important is a firm’s decision to pay dividends versus repurchase shares? Under what conditions would you have a tax preference for share repurchase rather than dividends?

  How much was the second payment

Johnna and Aaron borrowed $10,000 at 10% interest compounded annually. How much was the second payment?

  Do you think rate of return on eds investment will be higher

Do you think the rate of return on Ed's investment will be higher than, lower than, or the same as the rate of return on Maria's investment? Explain.

  The income statement shows net income

Fly Away, Inc., has balance sheet equity of $5.3 million. At the same time, the income statement shows net income of $763,200. The company paid dividends of $431,208 and has 120,000 shares of stock outstanding. If the benchmark PE ratio is 17, what i..

  What will your credit card balance be in three months

You make $194 of new charges every month and make a payment of $151 every month. What will your credit card balance be in three months?

  Expected free cash flow-future free cash flow

Schwarzentraub Industries' expected free cash flow for the year is $600,000; in the future free cash flow is expected to grow at a rate of 8%. The company currently has no debt, and its cost of equity is 12%. Its tax rate is 40%. Find VL if Schwarzen..

  Beta coefficient important when constructing a portfolio

Are portfolio managers willing to pay a premium for securities that reduce the systematic (market) risk of their portfolios? If so, why pay a premium? What makes a beta coefficient important when constructing a portfolio?

  Marginal tax-investor be indifferent between these two bonds

Debt issued by Southeastern Corporation currently yields 12%. A municipal bond of equal risk currently yields 8%. At what marginal tax rate would an investor be indifferent between these two bonds?

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