What would have been the rate of return to an investor

Assignment Help Financial Management
Reference no: EM131065100

A closed-end fund starts the year with a net asset value of $14. By year-end, NAV equals $14.30. At the beginning of the year, the fund is selling at a 4% premium to NAV. By the end of the year, the fund is selling at a 9% discount to NAV. The fund paid year-end distributions of income and capital gains of $1.70. a. What is the rate of return to an investor in the fund during the year? (Do not round intermediate calculations. Round your answer to 2 decimal places.) Rate of return % b. What would have been the rate of return to an investor who held the same securities as the fund manager during the year? (Round your answer to 2 decimal places.) Rate of return %

Reference no: EM131065100

Questions Cloud

Standard deviation of rate of return on client portfolio : Assume that you manage a risky portfolio with an expected rate of return of 12% and a standard deviation of 28%. The T-bill rate is 4%. Your risky portfolio includes the following investments in the given proportions: What is the standard deviation o..
Stock market increases in value : Suppose after you graduate, you plan to be a stock analyst for a big financial institution. You know that if the stock market increases in value, your will get a good job with a good salary. If the stock market declines, you will get a job, but the s..
What is its premium or discount as percent of NAV : The Closed Fund is a closed-end investment company with a portfolio currently worth $295 million. It has liabilities of $4 million and 6 million shares outstanding. a. What is the NAV of the fund? (Round your answer to 2 decimal places.) NAV $ b. If ..
Determine the critical load for the column : Determine the critical load for the column, considering Euler buckling in the plane of the web and also perpendicular to the plane of the web.
What would have been the rate of return to an investor : A closed-end fund starts the year with a net asset value of $14. By year-end, NAV equals $14.30. At the beginning of the year, the fund is selling at a 4% premium to NAV. By the end of the year, the fund is selling at a 9% discount to NAV. What would..
Use matalb to plot the computed eigenvector : Write a Matlab code implementing the inverse power method to compute approximations of the smallest eigenvalue λ1 = π2 of L and corresponding eigenfunctions. Use matalb to plot the computed eigenvector
Growth company expects its dividends to growth : A growth company expects its dividends to growth at 10% each year for the next three years, and then maintain a sustainable growth rate of 4% thereafter. The last dividend was $2.00, and the required return is 16%. What is the value of the stock pric..
Current currency spot rate : The current currency spot rate is $1.31 per euro. If dollar denominated interest rates are 3.0% and euro denominated interest rates are 4.0%, what is the likely dollar per euro exchange rate for a 2-year forward contract? Please show detail calculati..
Federal reserve system can increase the monetary base : Explain two ways by which the Federal Reserve System can increase the monetary base. Why is the effect of Federal Reserve actions on bank reserves less exact than the effect on the monetary base?

Reviews

Write a Review

Financial Management Questions & Answers

  What is value of the common stock-common stock valuation

(Common stock valuation) Gilliand Motor, Inc., paid a $4.39 dividend last year. If Gilliand’s return on equity is 19 percent, and its retention rate is 28 percent, what is the value of the common stock if the investors require a rate of return of 18 ..

  T-bills are risk-free

Given the utility function U = E(r) – 0.5Aσ2 and the fact that T-bill offer a risk-free rate of 4%, what is the minimum value for the risk-aversion coefficient A where an investor prefers the T-bills to an investment returning 10% with a standard dev..

  Compute the expected share price

Suppose the dividends for the Seger Corporation over the past six years were $1.49, $1.57, $1.66, $1.74, $1.84, and $1.89, respectively. Compute the expected share price at the end of 2014 using the perpetual growth method. Assume the market risk pre..

  Considered when selecting an enterprise system vendor

Which of the following should be considered when selecting an enterprise system vendor? Which of the following characterize business processes that can effectively be implemented in a CRM system? Which 2 characteristics are most important for a chief..

  Debt-equity ratio-what is the value of the total assets

A firm has total debt of $1,540 and a debt-equity ratio of 0.39. What is the value of the total assets?

  Growth rate in dividends is expected to be a constant

Bayou Okra Farms just paid a dividend of $2.65 on its stock. The growth rate in dividends is expected to be a constant 4.5 percent per year indefinitely. Investors require a return of 15 percent for the first three years, a return of 13 percent for t..

  Budgets are the responsibility of everyone

At Lakeside Manufacturing, budgets are the responsibility of everyone. Each department collaborates in determining its expected needs, and sales personnel determine the likely sales volume. As the accounting manager, write a memo to Mr. Talbott, expl..

  What was the arithmetic average return

You’ve observed the following returns on Crash-n-Burn Computer’s stock over the past five years: 19 percent, –13 percent, 16 percent, 21 percent, and 10 percent. What was the arithmetic average return on Crash-n-Burn’s stock over this five-year perio..

  What is the NPV of the worst case scenario

You are considering a new product launch. The project will cost $925,000, have a six-year life, and have no salvage value; depreciation is straight-line to zero. Sales are projected to be $1,800,000; variable cost per unit will be 60% of sales; and f..

  Yield curve is upward-sloping and downward-sloping

Create a graphic or presentation that explains why bonds of different maturities have different yields in terms of the expectations and liquidity preference hypotheses. Demonstrate the implications of each hypothesis when the yield curve is (1) upwar..

  Cause the demand and supply curve for bonds to shift

As an initial project in this area, you have been assigned the task of creating a presentation that will show the top management team assigned this project the basics of what affects interest rates and how equilibrium prices change over time. What is..

  How many houses of each type should domar build

Domar properties plc have a site covering 20,000m2 on which they wanted to build a mixed estate of 2- & 4-bedroom houses. The 2-bedroom houses will each occupy a plot of 60m2 and will be sold at a profit of $15,000. How many houses of each type shoul..

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