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1. What is noise trading?
2. What is herd behavior, and how can it lead to a bubble in a financial market?
3. Some mutual funds have started behavioral finance funds that attempt to use insights from behavioral finance in choosing stocks. According to an article in the New York Times, "Emotions cause investors to misjudge the impact of events in systematic ways. . . . Identifying those patterns and trading against them, the [fund] managers say, allows them to enhance performance." Is the strategy these fund managers are using consistent with the efficient markets hypothesis?
Discuss the Arbitrage Pricing Theory and the Fama-French factor and the "preciseness" of techniques used to calculate cost of capital. How does one decide on which technique is best to use?
The real risk-free rate is 3%, and inflation is expected to be 2% for the next 2 years. A 2-year Treasury security yields 7.9%. What is the maturity risk premium for the 2-year security?
what is the investment opportunity curve and how is it
A portfolio consists of two stocks and has a beta of 1.07. The first stock has a beta of 1.48 and comprises 38 percent of the portfolio. What is the beta of the second stock?
Assuming that there are no corporate income taxes, how can the costs of preferred stock and debt be estimated?
You have been asked to analyze the possibility of replacing a bocce ball machine that your company bought 5 years ago. It had an expected life of 10 years at the time of purchase and cost $1,200,000 to purchase. Your firm has been depreciating the..
this is the final part which has a spread sheet regarding trend analysis with indexes of at minimum of 5 different
Suppose you have written both a put and a call on the same stock with the same exercise price and the same expiration date (so you are short both options). You are best off if the stock price on the expiration date is
Applying the Three-Step approach to compute WACC above, compute the WACC using the following information.
then and now inc. has an average collection period of 37 days. its average daily investment in receivables is 92000.
What position in the traded option and in sterling would make the portfolio both gamma neutral and delta neutral?
Indicate whether the following statement is TRUE or FALSE and provide a short (max. 2 sentences) explanation in the space provided.
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