Systematic risk becomes relevant in overall risk

Assignment Help Finance Basics
Reference no: EM133000189

Using three assets P, Q, and S, mathematically prove that unlike portfolio return, portfolio risk is not the weighted average risk of individual assets. Now assuming number of assets n, and equal correlation among all pair of assets, prove that as the size of the n approaches to infinity, only systematic risk becomes relevant in overall risk consideration.

Reference no: EM133000189

Questions Cloud

Elements of the fais act : Themba and Brian are friends. Themba is a self-employed financial advisor who manages the finances of a small group of clients. Brian, on the other hand, works
What is the net income before bonus and tax for sesame-seed : The income tax rate is 30%. The senior managers received ?250,000 for the current year as bonus. What is the net income before bonus and tax?
Expected return on a portfolio with a beta : Consider a single factor APT. Portfolio A has a beta of 1.5 and an expected return of 11%. Portfolio B has a beta of 0.5 and an expected return of 5%.
What amount of gain be recognized in profit for chia-seed : The bonds have a five-year term, What amount of gain or loss should be recognized in profit or loss for 2021 to conform with the fair value option?
Systematic risk becomes relevant in overall risk : Using three assets P, Q, and S, mathematically prove that unlike portfolio return, portfolio risk is not the weighted average risk of individual assets.
What annual coupon should the bond pay : Assuming that the bonds will be called if interest rates fall, what annual coupon should the bond pay in order to sell at par value?
What are the benefits and risk for higher rates of return : What are the benefits and risk for Higher Rates of Return?
What amount is the accounts payable debited upon payment : The purchase discount is 2/10, n/30. Freight is ?500, FOB Shipping point prepaid. At what amount is the accounts payable debited upon payment?
What is the discount yield : What is the discount yield for a $3.0 million commercial paper issue that currently sells at 96.75% of face value and has 160 days to maturity?

Reviews

Write a Review

Finance Basics Questions & Answers

  What is agency theory

What is "agency theory?" How can setting the appropriate goals for the firm minimize the agency problem? Differentiate between profit maximization and wealth maximization

  Estimate the expected real rate of return

Estimate the expected real rate of return on the ten- year U. S. Treasury bond. If the real rate of return is expected to be the same for the thirty- year bond as for the ten- year bond, estimate the average annual inflation rate expected by invest..

  How is firm intrinsic value related to its free cash flows

How is a firm's intrinsic (or fundamental) value related to its free cash flows and its cost of capital? Write out the free cash flow equation

  What is vogt required rate of return

Vogt Corporation has a Beta of 1.4. The U.S. government T-Bill is expected to yield 0.05, and the S&P 500 is expected to yield 0.13 in the near future.

  Objective type questions on bank reconciliation

Objective type questions on bank reconciliation and Combining the functions of signing checks with the approval of expenditures

  The cfo is considering a recapitalization plan

The CFO is considering a recapitalization plan under which the firm would issue long-term debt with an after-tax yield of 9% and use the proceeds to repurchase some of its common stock

  Analysis and interpretation of plc accounts

Assessment comprises the analysis and interpretation of PLC accounts including a 2,000 word report on the detailed analysis of the chosen business. A discussion of the capital structure of the company should be included. The company in question is..

  Determining the stock price after ten years

A share of common stock is expected to pay a dividend of $10 in one year (which implies that DIV1E0E10 = $10.00). The stock's dividend is expected

  What is the profit margin

Wiggle Pools has total equity of $358,200 and net income of $47,500. The debt-equity ratio is .68 and the total asset turnover is 1.2. What is the profit margin?

  Characteristics of fixed income and common stock securities

Create a matrix in which you describe characteristics of fixed income and common stock securities.

  Discuss the role of finance in business

Discuss the role of finance in business. What is the purpose of financial management?

  What are the 5 factors of production

what are the 5 factors of production and why are they important?

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