What is the expected dollar profit from speculation

Assignment Help Financial Management
Reference no: EM131928095

1. Interest Rate Parity, Purchasing Power Parity, Interruidonal Fisher Effect

Separated by more than 1,000 nautical miles and five time zones, money and foreign exchange markets in both Loo and New York are very efficient The following information has been collected ftom the respective areas:

Assumption

London

NewYork

Stock Exchange rate($/pound)

1.3264

1.3264

One-year treasury bill rate

2.900%

2.500%

Expected inflation rate

Unkown

1.250%


a. Estimate todays one-year forward exchange rate F between the dollar and the pound using Covered Interest Rate Parity.

b. Find approximate expected inflation in London next year. Is it smaller or larger than New York expected inflation? Why?

You can do the forecast using PPP or International Fisher Effect. If you use PPP then assume that the Expected exchange rate E(S) is the same as the forward exchange rate F that you found in (a). Then solve for expected inflation in London using PPP formula. If you use International Fisher effect assume that the real interest rates for two countries are the same.

2. Speculation In the Forward Market.

The current spot exchange rate is 51.951 and the three-month forward rate is SI.90/L. Based on your analysis of the exchange rate, you are pretty confident that the spot exchange rate will be $1.921L in three months. Assume that you would like to buy or sell LI,000,000.

a What actions do you need to take to speculate in the forward market? What is the expected dollar profit from speculation?

b. What would be your speculative profit in dollar terms if the spot exchange rate actually turns out to be S1.861E.

Reference no: EM131928095

Questions Cloud

Who works under the supervison of the treasurer : The bank reconcliation is prepared by the cashier, who works under the supervison of the treasurer.
What would a call option to buy yen : You wish to take a vacation in Japan next year, and you want to protect yourself against changes in the exchange rate. If the current exchange rate is 90Yen/$.
What is the probability that the sample proportion : A population proportion is 0.57. Suppose a random sample of 658 items is sampled randomly from this population.
Influence short-term and long-term decision-making : What are some other nonfinancial considerations that may influence short-term and long-term decision-making?
What is the expected dollar profit from speculation : What actions do you need to take to speculate in the forward market? What is the expected dollar profit from speculation?
What is her? gift-adjusted taxable estate? value : Calculate the value of her taxable estate. What is her? gift-adjusted taxable estate? value?
What is the real cost of hedging the payable : Money Corp. used a forward hedge to hedge its payables of Malaysian ringgit (MYR) 1,500,000. The forward rate was $.23. On the day Money Corp. received the MYR.
How big must the contributions be : I am planning on investing for retirement. I estimate that I will need $100,000 per year for twenty years. I expect to earn 7% while accumulating and 3%.
Calculate the operating cash flow for the project : You are considering a new project that has projected sales of $120,000 each year for five years. Calculate the Operating Cash Flow for the project.

Reviews

Write a Review

Financial Management Questions & Answers

  Foreign company acquisition

Acquisition by a foreign company and the effects of that decision and the results of foreign exchange in Euro and the exchange rate differences.

  Financial management for profit and non profit organizations

In this essay, we are going to discuss the issues of financial management in a non-profit organisation.

  Method for estimating a venture''s value

Evaluate venture's present value, cash and surplus cash and basic venture capital.

  Replacement analysis

This document show the Replacement Analysis of modling machine. Is replacement give profit to company or not?

  Business finance task - capital budgeting

Your company is considering using the payback period for capital-budgeting. Discuss the advantages and disadvantages of this technique.

  Analysis of the investment

In this project, you will focus on one of these: the additional cost resulting from the purchase of an apple press (a piece of equipment required to manufacture apple juice).

  Conduct a what-if analysis

Review the readings and media for this unit, including the Anthony's Orchard case study media. Familiarise yourself with the Anthony's Orchard company and its current situation.

  Determine operational expenditures

Organisations' behaviour is guided by financial data. In the short term, such data will help determine operational expenditures; in the long term, historical data may help generate forecasts aimed at determining strategic plans. In both instances.

  Personal financial management

How much will you have left over each half year if you adopt the latter course of action?

  Sources of finance for expansion into new foreign markets

A quoted company is considering several long-term sources of finance for expansion into new foreign markets.

  Long term financial planning

This assignment is designed for analyze Long term financial planning begins with the sales forecast and the key input in the long term fincial planning.

  Explain the role of fincial manager

This assignment explain the role of fincial manager, function of manger. And what are the motives of financial manager.

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