Two-steps binomial tree model

Assignment Help Finance Basics
Reference no: EM133072357

Stock price is currently $48. Over each of the next two three-month periods it is expected to go up by 6% or down by 5%. The risk-free interest rate is 3% per annum with semi-annual compounding.

Part I.

Use the two-steps binomial tree model to price a 6-months European put option with an exercise price of $51.

Part II.

Assume you have sold the above put option to your client and charged him a fair price. Discuss how you can hedge your risk to avoid a big loss if the stock price turned out to be $1 in 6-months.

Reference no: EM133072357

Questions Cloud

Examine the impact of financial leverage on shareholder : Consider two firms with identical assets structures and operating characteristics: ABN and RPO. Both companies sell the same product and face the same distribut
Why is Pfizer interested in improving diversity : Why is Pfizer interested in improving diversity and inclusion at the company and How does a proactive focus on diversity and inclusion improve Pfizers legal
Value of a one-year call option : Consider two investors who agree on the stock's price and volatility but who do not agree on the stock's expected return. One believes that the stock price will
Compute the total direct labor variance for the month : Direct labor costs for the month totaled $37,440 based on 3,900 direct labor hours worked. Compute the total direct labor variance for the month
Two-steps binomial tree model : Stock price is currently $48. Over each of the next two three-month periods it is expected to go up by 6% or down by 5%. The risk-free interest rate is 3% per a
Define the systems development life cycle : Define the role of the Systems Analysts versus the Business Analyst. Define the Systems Development Life Cycle. What is a Systems Perspective?
Why forward hedging is better than futures hedging : 1. The firm imports high quality wool to France from foreign suppliers located in Australia and the New Zealand.
Successful branding strategy : In the realm of marketing, a successful branding strategy is one of the most important contributors to organizational success.
What dividend policies from the background readings : Review the 1) dividends for the past three years and 2) capital structure of the company you have been researching for your SLP assignment.

Reviews

Write a Review

Finance Basics Questions & Answers

  What is ford motor co. average collection period for 2011

Using Yahoo!Finance, calculate the cash coverage ratio for Ford Motor Co. for their 2011 fiscal year. Assume 2011 Depreciation is $0. Yahoo current shows it as blank on the cash flow statement?

  What is the 3-month interest rate the bank can lock in today

Suppose a bank needs to borrow (not lend) $20 million for 3 months starting in December 2016. If the bank wants to lock in the borrowing interest rate now, what should it do? Be specific about.

  Why do you think it is still beneficial for entities

If the response for most risks is obvious and almost universally understood, why do you think it is still beneficial for entities to undergo risk response plann

  Short-term financing planning

Capstan Autos operated an East Coast dealership for a major Japanese car manufacturer. Capstan's owner, Sidney Capstan, attributed much of the business's.

  Why interest rates are procyclical

Using the supply-and-demand for bonds framework, show why interest rates are procyclical (rising when the economy is expanding and falling during recessions).

  Briefly define the terms - cram-down procedure

Question - Briefly define the following terms: cram-down procedure, debtor-in-possession financing, and prepackaged bankruptcy

  What is the sharpe ratio of the tangency portfolio

What is the Sharpe ratio of the tangency portfolio formed by creating the optimal risky portfolio from this stock and bond portfolio?

  What is the company total assets turnover

Gardial & Son has an ROA of 11%, a 6% profit margin, and a return on equity equal to 12%.

  Compute the weights for your company equity

Compute the weights for your company's equity and debt based on the market value of equity and the market value of debt, computed in step 5.

  Calculating the weights for the wacc

WACC Project - Apple, Inc. is my chosen company for this project I'm need help calculating the following for Apple, inc. :

  Outline three examples of applied research tools

Outline three examples of applied research tools and how they are applied during research?

  What is the risk-neutral probability

Suppose S = $100, s = 30% per annum, r = 2% per annum (continuously compounded), and d = 3% per annum (continuous). What is the risk-neutral probability

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