Usually regarded as investment funds

Assignment Help Financial Management
Reference no: EM131488496

Which of the following are NOT usually regarded as investment funds?

insurance companies

pension funds

mutual funds

hedge funds

Reference no: EM131488496

Questions Cloud

Complete the attributes of the state of nevada : Question :The state of Nevada is in the shape of a quadrilateral. Complete the attributes of the state of Nevada.
Lending rate for customer with a probability of default : What is the lending rate for a customer with a probability of default of 1% and a loss given default of 28%.
Calculate the projects irr : (IRR) Ives Roche, a perfume and cosmetics store, is considering a new project, which costs $1,000,000 and is expected to last 15 years.
Developmental considerations relate to learner readiness : Developmental Considerations relate to "Learner Readiness." Learner readiness takes into account physical, cognitive, and psychosocial maturation.
Usually regarded as investment funds : Which of the following are NOT usually regarded as investment funds?
Asset qualifies as a five-year recovery asset under MACRS : Reversing Rapids Co. purchases an asset for $172,543. This asset qualifies as a five-year recovery asset under MACRS.
Why is risk management important : Why is risk management important? Critically evaluate the VaR approach as a risk management technique
Create presentation to share detail about your business plan : Create a presentation to share details about your new venture business plan, including a timeline for implementation of your new product or service.
Effective annual rate : An investment having a 10.47% effective annual rate (EAR) has what APR? (Assume monthly compounding.)

Reviews

Write a Review

 

Financial Management Questions & Answers

  Dollar return and percent return

FedEx Corp stock ended the previous year at $114.19 per share. It paid a $1.00 per share dividend last year. It ended last year at $117.49. If you owned 390 shares of FedEx, what was your dollar return and percent return?

  Bond funds and the rest in money market funds

An employee contributes $20,000 to a 401(k) plan each year, and the company matches 25% of this annually. Equity funds are earning 10%, bond funds 4% and money market funds 1%. The employee will retire in 25 years. How much money will he have at reti..

  Less affected than short-term bonds by rise in interest rate

Consider three bonds with 6.4% coupon rates, all making annual coupon payments and all selling at a face value of $1,000. The short-term bond has a maturity of 4 years, the intermediate-term bond has maturity 8 years, and the long-term bond has matur..

  Calculate the annual rate of return on investment

A year ago an Indian investor bought 1,000 shares of General Motors at $37 per share when the exchange rate was 42 rupees per one U.S. dollar. A year later, the U.S. dollar had appreciated against the rupee and the present exchange rate is 44 rupees ..

  Average accounts payable and average accounts receivable

Calvani, Inc., has a cash cycle of 39.5 days, an operating cycle of 55 days, and an inventory period of 23 days. The company reported cost of goods sold in the amount of $355,000, and credit sales were $578,000. What is the company’s average balance ..

  Decided to bid on the contract

Romo Enterprises needs someone to supply it with 127,000 cartons of machine screws per year to support its manufacturing needs over the next five years, and you've decided to bid on the contract. If your tax rate is 30 percent and you require a retur..

  Call option is currently selling

A call option is currently selling for $6.40. It has a strike price of $55 and six months to maturity. A put option with the same strike price sells for $7.40. The risk-free rate is 5.3 percent, and the stock will pay a dividend of $2.70 in three mon..

  According to the sustainable growth model

According to the sustainable growth model, if a firm finances its assets with 75 percent debt and 25 percent equity, and retains $3 million in earnings in a given year, the firm can afford to borrow an additional __________ to maintain the desired mi..

  Forward price and the initial value of the forward contract

A stock is expected to pay a dividend of $1 per share in three months and another dividend of $1 per share in nine months. The stock price is $50 today, and the risk-free rate of interest is 5% per annum with continuous compounding for all maturities..

  How many put option contracts should be purchased

A portfolio manager in charge of a portfolio worth $8 million is concerned that the market might decline rapidly during the next six months and would like to use options on the S&P 100 to provide protection against the portfolio falling below $7 mill..

  Describe strategy to identify the best and worst selling

Given the sales data shown on accompanying worksheet, describe a strategy to identify the best and worst selling days during the period (i.e., Monday through Sunday), the average sales by day, and to sort total monthly sales from lowest to highest.

  What is the operating cash flow for first year of project

The Sports Club wants to expand its facility. The expansion will require $350,000 in building improvements that will be depreciated on a straight-line basis over a 10-year period. The expanded area is expected to generate $250,000 in additional sales..

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