Retirement savings in the securities

Assignment Help Risk Management
Reference no: EM131473694

1. Suppose there are two investors. One has a project to build a factory; the other has a project to visit casinos and play roulette. Which investor has a greater incentive to issue bonds? Why? Which investor's bonds are a better deal for savers? Why?

2. Using the example from #1, above - suppose you were required to put all of your retirement savings in the securities of one of these companies. Which company would you choose, and why?

3. In the 1964 movie Goldfinger the title character schemes to increase the price of gold. He plans to drop an atomic bomb on Fort Knox, making the gold there radioactive. His operation is financed by North Korea, which hopes to make the dollar worthless, disrupting the US economy. If 007 hadn't thwarted Goldfinger's plan, what effects might it have had on the monetary system in 1964? In 2014? In 1904?

4. Describe how each of the following events impact stock AND bond prices (separately)

a. The economy enters a recession

b. A genius invents a new technology that makes factories more productive

c. The Federal Reserve raises its target for interest rates

d. People learn that major news about the economy will be announced in a few days, but they don't know whether it is good news or bad news.

5. "I just bought my first house. I got a 30 year fixed rate mortgage at a great, low rate! Economists are predicting low inflation in the future, but I sure hope they are wrong!" Why might it make sense for someone to say this?

6. Suppose that a discount investment bank make bonds cheaper to issue. It becomes quick and inexpensive for companies to issue bonds. Discount brokers make it easy and inexpensive to sell bonds in the secondary market. Using the liquidity preference theory, how does this development affect money demand and the interest rate?

7. Using the same facts as in #6, above - what should the Federal Reserve do if it doesn't want the interest rate to change? Explain your answer.

8. Research around 1980 showed that stocks of small firms had higher average returns than stocks of large firms. The finding gained much attention, as it seemed to contradict the efficient market hypothesis. It suggested a simple way to beat the market: purchase only small-cap stocks.

a. Can you explain this deviation from market efficiency from a behavioral perspective?

b. Can you explain this deviation from a CAPM perspective?

c. Would you guess that small stocks have done better than large stocks since 1980? Why or why not?

1. Suppose you buy call options on Paccar stock. Each option costs $3, has a strike price of $40 and an expiration date of July 1. Would you exercise the option in each of the following situations? (Answer yes or no and why, and give the expected profit or loss assuming you did exercise)

a. It is March 1 and Paccar is trading at $30

b. It is March 1 and Paccar is trading at $41

c. It is March 1 and Paccar is trading at $65

d. It is June 30 and Paccar is trading at $55

e. It is June 30 and Paccar is trading at $41

f. It is June 30 and Paccar is trading at $30

2. When a bank makes a loan, it sometimes requires borrowers to maintain a checking account or savings account at the bank until the loan is paid off. What are the reasons behind this requirement?

Reference no: EM131473694

Questions Cloud

What is book value of assets that hertz sold during the year : What is Book Value of assets that Hertz sold during the year? If Hertz had leased cars under operating leases, in which section would the cash flow be reported?
Ethics and compliance : hat do you think of the presenter’s observations as they relate to the role of business ethics in the 21st century?
Risk management and malicious attacks : Describe in detail the way in which the malware was utilized to steal data or gain privileged remote access to a computer or network.
Influence the continuation of separation of clinical : According to the text book, there are five factors that influence the continuation of separation of clinical
Retirement savings in the securities : Using the example from #1, above - suppose you were required to put all of your retirement savings in the securities of one of these companies.
Performance and effectiveness in regional offices globally : improving performance and effectiveness in their regional offices globally in the Real Estate Group.
Purchase of an investment : Matt is considering the purchase of an investment that will pay him $12,500 in 12 years. If Matt wants to earn a return equal to 7 percent per year.
Explain the fair debt collection practices act : Prior to September 1, 1994, Richard Whiteside signed a lease with Park Towne Place Apartments in Philadelphia for an apartment to be leased from September 1.
How is mobile harassment different from the physical one : How was the concept of age subculture used in this case? How is mobile harassment different from the physical one?

Reviews

Write a Review

Risk Management Questions & Answers

  A project report on mutual funds

This project report speaks of the core and future aspects of Mutual Funds and the present challenges to cope with.

  Evalaute the theoretical option price

Evalaute the theoretical option price

  Risk and return

Investing in the stock market and Risk-free investment and inflation

  Evaluate the gross profit

Evaluate the gross profit

  Discuss concepts of risk and management

Risk lies at all levels of business activity. There are many different kinds of risks within an management as well as ways to manage risks.

  Determine the average risk premium

Here are stock market & Treasury bill percentage (%) returns between 2006 and 2010: Determine the average risk premium

  Hypothetical healthcare organization ratios

Discuss and explain why one should apply caution when using financial ratios for analyzing a healthcare management's current financial position and future viability.

  Discuss role of risk assessment

The financial information has been dominated currently by stories of financial institutions that have mis-measured risk as part of subprime mortgage crisis.

  Calculate maturity risk premium

The real risk-free rate is 3 percent, & inflation is expected to be 3 percent for the next two years. A 2-year Treasury security yields 6.3 percent.

  Selcting best option for portfolio

Suppose you are planning investing in two stocks to form a portfolio. Assume you do not like risk. Which one of given stock combinations will you select for your portfolio?

  Result of systematic or unsystematic risk

It has been a little over one year since the collapse of Lehman Brothers which was the first major event in the downturn of our stock market & economy.

  Determine risk management

Determine risk management? Discuss the importance of risk management in an organization? How does risk management mitigation create value for an organization?

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