Coefficient of variation of imas interest rate forecast

Assignment Help Corporate Finance
Reference no: EM13196099

1. From the information below, compute the average annual return, the variance, standard deviation, and coefficient of variation for each asset.

ASSET ANNUAL RETURNS
A 5%, 10%, 15%, 4%
B 6%, 20%, 2%, 5%, 10%
C 12%, 15%, 17%
D 10%, 10%, 20%, 15%, 8%, 7%

2. Based upon your answers to question 1, which asset appears riskiest based on standard deviation? Based on coefficient of variation?

3. RCMP, Inc. shares rose 10 percent in value last year while the inflation rate was 3.5 percent. What was the real return on the stock? If an investor sold the stock after one year and paid taxes on the investment at a 15 percent tax rate, what is the real after-tax return on the investment?

4. Given her evaluation of current economic conditions, Ima Nutt believes there is a 20 percent probability of recession, a 50 percent chance of continued steady growth, and a 30 percent probability of inflationary growth. For each possibility, Ima has developed an interest rate forecast for long-term Treasury bond interest rates:

ECONOMIC INTEREST RATE
FORECAST FORECAST
Recession 6 percent
Constant growth 9 percent
Inflation 14 percent

a. What is the expected interest rate under Ima's forecast?

b. What is the variance and standard deviation of Ima's interest rate forecast?

c. What is the coefficient of variation of Ima's interest rate forecast?

d. If the current long-term Treasury bond interest rate is 8 percent, should Ima consider purchasing a Treasury bond?

Why or why not?

5. Ima is considering a purchase of Wallnut Company stock. Using the same scenarios and probabilities as in problem 10, she estimates Wallnut's return is -5 percent in a recession, 20 percent in constant growth, and 10 percent in inflation.

a. What is Ima's expected return forecast for Wallnut stock?

b. What is the standard deviation of the forecast?

c. If Wallnut's current price is $20 per share and Wallnut is expected to pay a dividend of $0.80 per share next year, what price does Ima expect Wallnut to sell for in one year?

6. EXCEL Spreadsheets are useful for computing statistics: averages, standard deviation, variance, and correlation are included as built-in functions. Below is recent monthly stock return data for ExxonMobil (XOM) and Microsoft (MSFT). Using a spreadsheet and its functions, compute the average, variance, standard deviation, and correlation between the returns for these stocks. What does the correlation between the returns imply for a portfolio containing both stocks?

MONTH XOM RETURN MSFT RETURN
November 4.6% 10.4%
October 0.1% 13.6%
September 1.9% 10.3%
August 3.3% 13.8%
July 4.4% 9.3%
June 1.6% 5.5%
May 0.7% 2.1%
April 9.4% 23.9%
March 0.1% 7.3%
February 3.2% 3.4%

Reference no: EM13196099

Questions Cloud

Compute the energy and the wavelength : Calculate the energy and the wavelength, in nanometers, of light emitted when an electron in an excited hydrogen atom
Corporate and sovereign risk models : How should regulators verify and validate a banks Internal Ratings Based models. What measures should they use for consumer risk models and for corporate and sovereign risk models?
Find the standard deviation of the number of students : At a certain university the probability that an entering freshmen will graduate within 4 years is 0.65. An incoming freshman class has 1800 students. Find the standard deviation of the number of students who will graduate within 4 years.
At which the distance from the plane to the station : A plane flying horizontally at an altitude of 1 mi and a speed of 440 mi/h passes directly over a radar station. Find the rate at which the distance from the plane to the station is increasing when it is 4 mi away from the station.
Coefficient of variation of imas interest rate forecast : What is the expected interest rate under Ima's forecast, what is the variance and standard deviation of Ima's interest rate forecast and what is the coefficient of variation of Ima's interest rate forecast?
State diluted buzzards bay seawater solution : Seawater has a concentration of 400 ppm Ca. You wil first prepare a 10-fold diluted Buzzards Bay seawater solution (40.0 ppm Ca). Pipet 10.00 mL of Buzzards bay seawater into a 100.0 mL volumetric flask and fill to mark with deionized water
How fast is a rider rising : A Ferris wheel with a radius of 15 m is rotating at a rate of one revolution every 2 minutes. How fast is a rider rising when the rider is 27 m above ground level?
Compute the weight percent nh in the aqueous waste : A 13.386 g aliquot of this solution is then titrated with 0.1052 M HCl. It required 30.21 mL of the HCl solution to reach the methyl red endpoint. Calculate the weight percent NH3 in the aqueous waste.
High interest rates on credit card balances : Do you believe that capitalist bankers should charge such high interest rates on credit card balances? How much did you charge (dolars) on your credit cards last month? 0-400, 500-900, 1000-1400, 1500-1900, 2000 or more.

Reviews

Write a Review

Corporate Finance Questions & Answers

  Explain the short and the long-run effects on real output

Explain the short and the long-run effects on real output, price, and unemployment

  Compute current stock price

Otobai Motor Corporation is currently paying a dividend of $1.40 each year. The dividends are expected to grow at a rate of 18% for next 3-years and then a constant rate of 5 percent thereafter forever.

  Show discuss the characteristics of npv

Examine and discuss the characteristics of NPV and the role that this method plays in capital investment decision making. In addition, discuss the advantages of using this method instead of the other evaluation methods examined this week.

  Finding true or false statements

Finding true or false statements. The primary role of organized security exchanges is to increasing capital (money) for firms.

  Formulate a bip model in algebraic form

Formulate a BIP model in algebraic form for this problem and Formulate and solve this model on a spreadsheet.

  Challenges do you think managers at a company may face

What kind of ethical challenges do you think managers at a company may face when they have to produce certain measurable results?

  Evaluate the price of the policy

The price of the policy is $1,800. There is a 10% chance of having an accident in which the car is a total loss.

  Principles and tools for financial decision-making

Principles and tools for financial decision-making. Analyse the concept of corporate capital structure and compute cost of capital.

  Calculation of financial ratios

Use the following information from a company pro forma financial statements to compute the following profitability ratios for the company,

  Estimating the value of sales

Use the SUMIFS function to estimate the value of sales for every type of inventory for a prticular function. Please note that length of your different ranges must be identical.

  Calculation of standard deviation

The following are the historic returns for Chelle Computer Corporation. Determine the correlation coefficient between Chelle Computer and General Index and also calculate the standard deviation.

  Contribution margin and breakeven analysis

Develop the Contribution Margin and Breakeven Analysis on a spreadsheet for the below company

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