How important is good governance and ethics for a firm

Assignment Help Financial Management
Reference no: EM13839951

FINANCIAL MANAGEMENT

This assignment consists of Three questions. All three questions must be answered. Assignment is to be completed in groups of three.

Q1.

Assume you have $10,000,000 AUD to invest in financial assets under the following limitations - you must:

• Diversify your portfolio among four assets sectors: 1) cash, 2) banking sector (shares of one bank only, you are restricted to select one bank from the following banks: Commonwealth Bank, Westpac Banking Corporation or ANZ Banking corporation ); 3) mining sector (shares of one mining company only, you are restricted to select one from the following mining sector companies: BHP Billiton, Fortescue or Newcrest Mining) and 4) wholesale and retail sector (shares of one company only, you are restricted to select one from the following companies:

Woolworths, Coca-cola Amatil).

Answer all the questions below:

i. Explain why you selected specific assets in your portfolio, support your answer with current evidence (maximum of 600 words).

ii. Show the trend behaviour of your three assets (Except cash) from January 2009 -October 2014.

iii. Select the mining sector asset in your portfolio and explain the last two year behaviour of that asset using weekly or monthly data, use graphs as appropriate (maximum of 300 words).

iv. Calculate and show the capital gain/(loss) of your banking asset, if you had bought at the (average) price in Jan/2012 and sold in Oct 2014. Ignore any tax effects. What is the holdingperiod return of this asset at the end of the time period (i.e. Oct 2014- selling day can be any day in Oct 2014) - You are allowed to do three transactions on this asset during this whole period (support the transactions with a full and appropriate data set;

Q2. (Maximum word limit 700 words)

In an effort to analyse the agency problem and the firm value maximisation, Hanlon, Rajgopal and Shevlin (2003) p.4. state
"The incentive alignment perspective typically advocated by a number of financial economists states that options are granted to reduce the moral hazard problem that stems from senior managers owning very little of the firms they manage. A substantial body of theoretical work beginning with Jensen and Meckling (1976) suggests that option contracts can align managers' incentives with that of shareholders. Consistent with this perspective, researchers (e.g., Demsetz and Lehn 1985; Himmelberg, Hubbard and Palia 1999; Core and Guay 1999; Rajgopal and Shevlin 2002) have predicated their analyses on the premise that granting options is consistent with firm value maximization."
Hanlon, M., Rajgopal, S. and Shevlin, S. (2003), ‘Are Executive Stock Options Associated with Future Earnings?' Journal of Accounting and Economics, Vol 36(1), p.3 - 43.

Explain the concept ‘executive stock options'. What are the advantages and disadvantages of ‘executive stock options'? Students are strongly urged to read reviewed journal articles and provide at least two academic journal articles in the reference. Please note: understanding the notions in the articles is more important than an entanglement with the advance math in many of the articles.

Q3. (Maximum word limit 700)

How important is good governance and ethics for a firm? Provide answers with examples and theoretical explanations.

Reference no: EM13839951

Questions Cloud

Double-entry accounting services begin operations : Double-entry Accounting Services begin operations on July 1. It allows its clients 90 days to pay for services received. On the other hand, the company's suppliers require payment for their goods and services within 30 days. Double-entry prepaid its ..
Explain the federal reserve have conflicting goals : Suppose that the government and the Federal Reserve have conflicting goals. The government wants to encourage economic growth by. But the Federal Reserve wants to decrease inflation by.
Identifies the specific securities to include in a portfolio : Which of the following statements reflects the importance of the asset allocation decision to the investment process? The asset allocation decision: Helps the investor decide on realistic investment goals. Identifies the specific securities to includ..
Find the probability of symptom : A study determined that 5% of persons age 65 to 4 have a certain symptom. A group of 17 persons age 65 to 74 are selected at random. Find the probability that at most 1 person has the symptom.
How important is good governance and ethics for a firm : How important is good governance and ethics for a firm? Provide answers with examples and theoretical explanations.
The post-closing trial balance : The following selected accounts appear in the adjusted trial balance for Blender Company. Identify the accounts that would be included in the post-closing trial balance. 1.  Accumulated Depreciation
Prepare a retained earnings statement : The adjusted trial balance of Warbocks Corporation at December 31, 2014 includes the following accounts: Retained Earnings $12,600; Dividends $5,000; Service Revenue $30,000; Salaries and Wages Expense $15,000; Insurance Expense $2,000; Rent Expense ..
Probability of children who live with thier father : A study determined that 5% of children fewer than 18 years of age live with their father only. Find the probability that at least 3 persons selected at random from 10 children less than 18 years of age lived with their father only.
Determination of either investor objectives : Explain in detail how each of the following relates to the determination of either investor objectives or investor constraints that can be used to determine the portfolio policies for this three-year period for the Wood Museum Endowment Fund.

Reviews

Write a Review

Financial Management Questions & Answers

  Firm has an equity beta

A firm is valued at $8 million and has debt of $2 million outstanding. The firm has an equity beta of 1.5 and a debt beta of .60. The beta of the overall firm is:

  Treasury investments that mature in two years

A bank has invested in U.S. Treasury investments that mature in two years. They will be held until maturity. The investments are funded with three-year maturity time deposits. The primary risk this bank faces is

  Determine its cost of debt

Sixth Fourth's Bank is trying to determine its cost of debt. The firm has a debt issue outstanding with nine years to maturity that is quoted at 105 percent of face value. The issue makes semiannual payments and has an embedded cost of 4.1 percent an..

  What is the quoted price

A Treasury STRIPS matures in 9 years and has a yield to maturity of 4.9 percent. Assume the par value is $100,000. What is the price of the STRIPS? What is the quoted price?

  Why is it important for international firms to understand

Identify some political and currency risks of Spain and discuss why a U.S. company would invest in that country. Also discuss some of the various international finance topics such as the foreign exchange market, purchasing power parity, interest rate..

  How much money does CZS receive

An investment bank pays $32 per share for 3.0 thousand shares of CZS Company in a firm commitment stock offering. It then can sell those shares to the public for $35 per share. A. How much money does CZS receive? B. What is the profit to the investme..

  The internal rate of return for capital budgeting projects

The Internal Rate of Return for capital budgeting projects is best described as:

  Money will be in that account at the end of that time period

Stephen plans to purchase a car 5 years from now. The car will cost $55,339 at that time. Assume that Stephen can earn 5.16 percent (compounded monthly) on his money. How much should he set aside today for the purchase?

  A rational investor be indifferent between the banks

Even if the five banks provided the same effective annual rate, would a rational investor be indifferent between the banks? Explain.

  Advantages of spin-off over other restructuring strategies

Speculate as to why Northrop Grumman used a spin-off rather than a divestiture, a split-off, or a split up to separate Huntington Ingalls from the rest of its operations. What were the advantages of the spin-off over the other restructuring strategie..

  Lender actually charging on the repayment agreement

Bill Farmer has had some financial problems and cannot pay the $200,000 loan that is due next week (i.e. now). Bill's lender agrees to accept 5 annual payments of $46,000 each for the next 5 years instead, with the first payment due one year from now..

  Citibank plans to increase its project financing

Citibank plans to increase its project financing in the oil industry by $20 billion. Each project is likely to last 10-15 years. How would it raise the money to lend? Would it pay a floating or fixed market rate? How could a project borrower change t..

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