What are the portfolio weights

Assignment Help Finance Basics
Reference no: EM13255618

You are discussing your 401(k) with Dan Ervin when he mentions that Sarah Brown, a representative from Bledsoe Financial Services, is visiting East Coast Yachts today. You decide that you should meet with Sarah, so Dan sets up an appointment for you later in the day. When you sit down with Sarah, she discusses the various investment options available in the company's 401(k) account. You mention to Sarah that you researched East Coast Yachts before you accepted your new job. You are confident in management's ability to lead the company. Analysis of the company has led to your belief that the company is growing and will achieve a greater market share in the future. You also feel you should support your employer. Given these considerations, along with the fact that you are a conservative investor, you are leaning toward investing 100 percent of your 401(k) account in East Coast Yachts. Assume the risk-free rate is 3.2 percent. The correlation between the Bledsoe bond fund and large-cap stock fund is .15. Note that the spreadsheet graphing and "solver" functions may assist you in answering the following questions.

1. Considering the effects of diversification, how should Sarah respond to the suggestion that you invest 100 percent of your 401(k) account in East Coast Yachts stock?

2. Sarah's response to investing your 401(k) account entirely in East Coast Yachts stock has convinced you that this may not be the best alternative. Because you are a conserva-tive investor, you tell Sarah that a 100 percent investment in the bond fund may be the best alternative. Is it?

3. Using the returns for the Bledsoe Large-Cap Stock Fund and the Bledsoe Bond Fund, graph the opportunity set of feasible portfolios.

4. After examining the opportunity set, you notice that you can invest in a portfolio con-sisting of the bond fund and the large-cap stock fund that will have exactly the same standard deviation as the bond fund. This portfolio will also have a greater expected return. What are the portfolio weights and expected return of this portfolio?

5. Examining the opportunity set, notice there is a portfolio that has the lowest standard deviation. This is the minimum variance portfolio. What are the portfolio weights, expected return, and standard deviation of this portfolio? Why is the minimum vari-ance portfolio important?

6. A measure of risk-adjusted performance that is often used is the Sharpe ratio. The Sharpe ratio is calculated as the risk premium of an asset divided by its standard deviation. The portfolio with the highest possible Sharpe ratio on the opportunity set is called the Sharpe optimal portfolio. What are the portfolio weights, expected return, and standard deviation of the Sharpe optimal portfolio? How does the Sharpe ratio of this portfolio compare to the Sharpe ratios of the bond fund and the large-cap stock fund? Do you see a connection between the Sharpe optimal portfolio and the CAPM? What is the connection?

Reference no: EM13255618

Questions Cloud

What can be done to prevent school violence : What causes violence in high schools, is there a developing trend in frequency or type of school violence and how should violent school children be punished and what can be done to prevent school violence?
What estimate can he make of the real rate of return : That annualized rate now stands at 3%. On the basis of the information that Carl has collected, what estimate can he make of the real rate of return?
A distilled water and measuring it with a spectrofluorometer : When filling a cuvette with distilled water and measuring it with a spectrofluorometer, upon excitation at 350nm, a band around 397nm appears. This is either a fluorescence band or a Raman band. Suggest what you can do experimentally to identify w..
Explain can the op amp have a gain less than one : Discuss different applications that could use non-inverting and inverting amplifier circuits. Will the actual op Amp characteristics cause any challenges it used for each application.
What are the portfolio weights : Considering the effects of diversification, how should Sarah respond to the suggestion that you invest 100 percent of your 401(k) account in East Coast Yachts stock?
Explain what volume of gas is produced at stp : A 500 mg tablet of antacid (all 500mg is calcium carbonate) is put into 250 ml of 0.12M hydrochloric acid. What volume of gas is produced at STP and how many moles of excess H3O+ are left over
Find the transfer function of a second-order system : Find the transfer function of a second-order system that yields a 10% overshoot and a settling time (Ts) of 1.5s, plus tell the nature of the system
Explain what is the volumetric flow rate of product gas : If the propane and air streams enter the chamber at 25.0°C and 1.20 atm (absolute), and the products leave the chamber at 290.0°C and 2.90 atm (absolute), what is the volumetric flow rate of product gas from the chamber
Determine the rotational power loss in hp : A shunt dc motor has RA = 0.1-ohm and VT = 440 V. For an output power of 16.1 hp, nm = 1,213 rpm and IA = 103 A. The field current remains constant. Find the the rotational power loss in hp.

Reviews

Write a Review

Finance Basics Questions & Answers

  Financial reporting and analysis

Finance is about Gunns Ltd, a company in dealing with forestry products in Australia. The company has also been listed in Australian Stock Exchange. As many companies producing forestry products, even Gunns Ltd is facing various problems. Due to the ..

  A report on financial accounting

This report is specific for a core understanding for Financial Accounting and its relevant factors.

  Describe the types of financial ratios

Describe the types of financial ratios and other financial performance measures that are used during venture's successful life cycle.

  Differences between sole proprietorship and corporation

Briefly describe the major differences between a sole proprietorship and a corporation

  Prepare a cash budget statement

Calculate the expected value of the apartment in 20 years' time. What is the mortgage loan repayment at the beginning of each month

  What are the implied interest rates

What are the implied interest rates in Europe and the U.S.?

  State pricing theory and no-arbitrage pricing theory

State pricing theory and no-arbitrage pricing theory

  Small business administration

Identify the likely stage for each venture and describe the type of financing each venture is likely to be seeking and identify potential sources for that financing.

  Effect of financial leverage

The Effect of Financial Leverage and working capital management

  Evaluate the basis for the payment to the lender

Evaluate the basis for the payment to the lender and basis for the payment to the company-counterparty.

  Importance of opps, ipps, mpfs and dmepos

Research and discuss the differences and importance of : OPPS, IPPS, MPFS and DMEPOS.

  Time value of money

Time Value of Money project

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