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Company:AAA- Return6.50%, Shares200, Price54 Company:Axe- Retrun7.8% Shares100 Price120 Company:BR Co.- Return11% Shares400, Price30 Company: Basil- Return12.7%, Shares500, Price450 Company: Temple- Return20.5%, Shares300, Price100 If the risk premium on the market is 5.5% and the risk-free rate is 2.00% What is the return on your portfolio? What is the Beta of the portfolio? If you decide to sell your Temple Stock and replace it with a stock (trading at $50 per share; using the entire proceeds to buy the new shares) that has a Beta of 1.20, what would the beta of your portfolio be and what is its new expected return on your portfolio?
If we have Stock A with required rate of return each to 15%, risk free rate of reture is 3%, the expected return for the market portfolio is 7%. what is the systemic risk for this stock. does this stock have higher or lower risk than the market. what..
Which of the following is true? a. In industries with volatile earnings, the residual dividend policy results in the most consistent dividend stream. b. If the clientele effect is correct, firms should follow a constant dividend payout ratio policy. ..
Hardin-Gehr Corporation (HGC) began operations 5 years ago as a small firm serving customers in the Detroit area. However, its reputation and market area grew quickly. Today HGC has customers all over the United States. hat is the maximum monthly cha..
Ward Corp. is expected to have an EBIT of $2,900,000 next year. Depreciation, the increase in net working capital, and capital spending are expected to be $185,000, $125,000, and $135,000, respectively. What is the price per share of the company's st..
A Super Company urgently needs $600,000.00 for its business; will pay a Willing Sponsor the sum of $102,000.00 per year for the next 8 years for investing that requested sum. The Financial Bank is satisfied with getting the rate of 12% for the money...
Based on the following ex-post data, what is the beta of the portfolio if the portfolio is well-diversified? Standard deviation of the portfolio=.22 Standard deviation of the market portfolio=.10
Tom deposits $100 in a bank; nominal interest rate is 10%. How much interest rate will he earn after
You used Dell as a representative company to estimate the cost of capital for GCI. What are some of the potential problems with this approach in this situation? What improvements might you suggest?
A local firm has debt worth $250,000, with a yield of 9%, and equity worth $400,000. It is growing at a 6% rate, and its tax rate is 40%. A similar firm with no debt has a cost of equity of 11%. Under the MM extension with growth, what is the value o..
What are the six main barriers to effective communication? Of the six main barriers to effective communication which do you consider to be your personal nemeses? Which of the barriers is easiest for you to surmount? Why?
What is the present value of an annuity due that pays 250 dollars per year for 4 years, if the appropriate discount rate is 5.0 percent per year, compounded annually?
What does the phrase you get what you measure refer to? Give an example of a performance measure you’ve come across in your experience (work, school, or home) and comment on the strengths and weaknesses of that measure.
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