Portfolio weight invested in the market portfolio

Assignment Help Financial Management
Reference no: EM131087641

Suppose a risk-free security pays a 8% return, and a market portfolio has an expected return of 9%.

What is the expected return on a portfolio that has $6,000.00 invested in the risk-free security and $4,000.00 invested in the market portfolio? Round your answer to one decimal place.

What is the CAPM beta of the portfolio? Round your answer to two decimal places.

Does the CAPM beta correspond to the portfolio weight invested in the market portfolio?

Yes or No?

Reference no: EM131087641

Questions Cloud

Consider an asset market with no interest payments : Consider an asset market with no interest payments. Suppose that the experiment lasts for 10 periods, with dividends that are either $1 or $5, each with 50 percent probability, and with a final redemption value that equals the sum of the dividends re..
Context of property and liability insurance : In the context of Property and Liability insurance, explain the differences between low-severity, high frequency lines and high-severity, low-frequency lines. For which of these lines will insurance companies charge a higher premium and why?
Least expensive and most expensive : The Johnsons have accumulated a nest egg of $50,000 that they intend to use as a down payment toward the purchase of a new house. If local mortgage rates are 5.5%/year compounded monthly for a conventional 30-year mortgage, what is the price range of..
What is the amount of the monthly payment for their mortgage : The Washingtons decide to buy a $400,000 home by putting a 20% down payment and financing the balance with a 30-year fixed mortgage at 4.2%. What is the amount of the monthly payment for their mortgage? What is the total interest paid on the mortgage..
Portfolio weight invested in the market portfolio : Suppose a risk-free security pays a 8% return, and a market portfolio has an expected return of 9%. What is the expected return on a portfolio that has $6,000.00 invested in the risk-free security and $4,000.00 invested in the market portfolio? What ..
Pay interfirst according to the standard fra formula : Suppose that KF Exports enters into an FRA with Interfirst Bank with a notional principal of $40 million and the following terms: In six months, if LIBOR is above 6% then KF will pay Interfirst according to the standard FRA formula; KF OR Interfirst ..
What is the expected value of the cash flow : Debby’s Dance Studios is considering the purchase of new sound equipment that will enhance the popularity of its aerobics dancing. What is the expected value of the cash flow? The value you compute will apply to each of the five years. What is the ex..
Calculate net present value for method : Dixie Dynamite Company is evaluating two methods of blowing up old buildings for commercial purposes over the next five years. Method one (implosion) is relatively low in risk for this business and will carry a 12 percent discount rate. Which method ..
What interest rate would you be indifferent between two plan : Assume that you just won the state lottery. Your prize can be taken either in the form of $42,000 at the end of each of the next 25 years (i.e., $1.05 million over 25 years) or as a lump sum of $490,000 paid immediately? At approximately what interes..

Reviews

Write a Review

Financial Management Questions & Answers

  Both firms sell 10000 units of output at 250 per unit the

1. firm a has 10000 in assets entirely financed with equity. firm b also has 10000 in assets but these assets are

  What is the growth rate of the firm

We know the following about Ryan Inc. The net profit margin is .10, the ATO is 4 and the leverage ratio is 1.6. Compute the ROE. If the dividend payout ratio is .5, what is the growth rate of the firm? The equity book value is $100 million and the fi..

  What is net present value of installing the donut makers

The owners of a chain of fast-food restaurants spend $25000000 installing donut makers in all their restaurants. This is expected to increase cash flows by $11000000 per year for the next 5 years. The discount rate is 5.3%. What is the net present va..

  Interest received at the end of period is reinvested period

You placed $6342 in a savings account today that earns an annual interest rate of 11.98 percent compounded semi annually. How much will you have in this account at the end of ten years? Assume that all interest received at the end of the period is re..

  What should strike it rich management do

The Strik-it-Rich Gold Mining Company is contemplating expanding its operations. To do so it will need to purchase land that its geologists believe is rich in gold. Strik-it-Rich’s management believes that the expansion will allow it to mine and sell..

  Which stock is the most valuable

Consider the following three stocks: a. Stock A is expected to provide a dividend of $10 a share forever. b. Stock B is expected to pay a dividend of $5 next year. Thereafter, dividend growth is expected to be 4% a year forever. c. Stock C is expecte..

  Treasury bond-what is the bonds yield to maturity

A Treasury bond that settles on August 10, 2013, matures on August 23, 2019. The coupon rate is 6.00 percent and the quoted price is 111:7. What is the bond’s yield to maturity?

  Develop a suitable null and alternate hypothesis

Will the hypothesis test procedure prove that the containers are filled to an amount different from 30 ounces?

  Bonds and their valuation

Interpret and apply all bond terminology (i.e. par, maturity, coupon, price, yield, etc.).. Explain the relationship between a bond’s price and its maturity.. Explain the relationship between a bond’s price and its yield.. Explain the relationship be..

  Transaction on the balance sheet

Suppose the Federal Reserve purchases $10 billion worth of foreign currency in exchange for deposit accounts at the Federal Reserve. Show the changes that result from this transaction on the Fed’s balance sheet

  A college administrator wants to study the average age

Find a 95% confidence interval for the mean age of all first semester college dropouts. Interpret your results in part (a) inwords.

  What is the bond equivalent yield

A U.S. Treasury bill with 64 days to maturity is quoted at a discount yield of 1.75 percent. What is the bond equivalent yield?

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