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Problem1:Compute the abnormal rates of return for the following stocks during period t (ignore differential systematic risk):Stock Rit RmtB 11.5% 4.0%F 10.0 8.5T 14.0 9.6C 12.0 15.3E 15.9 12.4Problem 2:Compute the abnormal rates of return for the five stocks in Problem 1 assuming the following systematic risk measures (betas):Stock BetaB 0.95F 1.25T 1.45C 0.70E -0.30
Assume a State of Maryland bond will pay $1,000 eight years from now. If the going interest rate on these 8-year bonds is 5.5%, how much is the bond worth today?
Nielson Motors is currently an all equity financed firm. It expects to generate EBIT of $20 million over the next year. Currently Nielson has 8 million shares outstanding and its stock is trading at $20.00 per share
The following transactions occurred at Horton corporation., during its 1st year of operation: Issued 100,000 shares of common stock at $5 each; 1,000,000, shares are authorized at $1 par value.
Why would BofA issue all those warrants? Remember, think like an analyst- Warren Buffet invested in BofA last year and as part of the deal
Could this be balance sheet for St. Ann's Credit Union or Bank of America. Explain fully the reasons for your choice.
Determining the future value of the investment and every year for the next six years in an investment paying
In 2012, average vehicle in US sold for $42,830. In 2002 the average selling price was $25,313. Calculate the annual increase in the selling price over this time period?
Describe and analyze the risk management role of options, futures and forward contracts.
Susie can earn the nominal annual rate of return of= 12%, compounded semi-annually.
Based solely on coefficient of variation, which investment is less risky and given that the expected rates of return are not equal, which is a better measure - standard deviation or coefficient of variation?
Calculate the difference between daily and annual compounding
What is the function of foreign exchange market? Who are the market participants? Write down the difference between the spot and forward markets
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