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1. Please pick an industry and find out a trend within that industry and discuss what the trend is and what analysis was used to spot the trend. Please be sure to provide links to your research.
2. Discuss DSO (day sales outstanding). Please discuss ways that the DSO in a company can be improved.
Preparing Financial Statements Handout - The May 31, 20XX, post-closing trial balance for the L&L Accounting Firm appears
Paid the $8,000,000 into an irrevocable trust to defease in substance the previously outstanding bonds payable of the Enterprise Fund.
John sold a put option on Euro for $.04 per unit. The strike price was $1.30, and the spot rate at the time the option was exercised was $1.27.
Spreadsheet assignment: at instructor’s option Construct a spreadsheet that calculates the cash flows, NPV, IRR, payback, and MIRR.
The Argentina Fund has $410 million in assets and sells at a 7.1 percent discount to NAV. If the quoted share price for this closed-end fund is $17.03, how many shares are outstanding?
What is your portfollio's overall return for the year?
The IRR on the new project is 20%. What is the cost of capital for the project? Should the project be accepted?
An investor buys 100 shares of walmart at $45 per share on margin with initial margin of 70 percent and a maintenance margin of 25%. In two months, the stock goes to $56. What is the actual margin of the stock when it's at $56?
What is the portfolio's expected return? which of the following is the best estimate of the portfolio's standard deviation of returns?
Consider an investor who, on January 1, 2016, purchases a TIPS bond with an original principal of $112,000, an 10 percent annual (or 5 percent semiannual) coupon rate, and 10 years to maturity. If the semiannual inflation rate during the first six mo..
Explain why participants in the stock market monitor the VIX index. What does a decline in the VIX index imply about a change in expected volatility by market participants?
A call option on an asset has a delta of 0.3. A trader has sold 3,000 options and wants to create a delta-neutral position. Should the trader take a long or short position in the asset? How many units of the asset should be bought or sold?
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