Market portfolio in new optimal portfolio

Assignment Help Financial Management
Reference no: EM131316112

Consider the following market portfolios from the US, UK, and Japan.

US UK Japan

μ 0.12 0.15 0.14

σ 0.15 0.24 0.22

We also know that the correlation coefficient between US and UK market portfolios is ρUS,UK = 0.5 and the correlation coefficient between US and Japan is ρUS, Japan = 0.266. Suppose that the risk-free rate is Rf = 5%. You currently hold a portfolio with 100% invested in the US market portfolio.

(a) What are the Sharpe ratios for the US, UK, and Japanese market portfolios?

(b) You are thinking about diversifying your existing portfolio with the UK market. Should you include the UK market portfolio in your new optimal portfolio?

(c) You are thinking about diversifying your existing portfolio with Japanese market. Should you include the Japanese market portfolio in your new optimal portfolio?

Reference no: EM131316112

Questions Cloud

Analyze the spectrum of health care facilities : For the next newsletter, you have been asked to write a 700- to 1,050-word article about the spectrum of health care facilities. In your article: Analyze the spectrum of health care facilities that exist in the U.S
What are most prominent elements to understanding two acts : Discuss the Family and Medical Leave Act of 1993 and the Patient Protection and Affordable Care Act of 2010. What are the most prominent elements to understanding these two acts? How do they impact the employee and the organization?
Which if any of these projects should be selected : Four mutually exclusive projects are shown below. Which, if any, of these projects should be selected? Please use an interest rate of 12%.
Devise a local search heuristic for service network design : Devise a local search heuristic for the service network design problem in which an individual move is to remove an existing arc or to add a new arc to the current solution.
Market portfolio in new optimal portfolio : Consider the following market portfolios from the US, UK, and Japan. You are thinking about diversifying your existing portfolio with the UK market. Should you include the UK market portfolio in your new optimal portfolio?
What is the standard deviation of the analysts profit : Assume a market index represents the common factor and all stocks in the economy have a beta of 1. Firm-specific returns all have a standard deviation of 43%. What is the expected return (in dollars), and what is the standard deviation of the analyst..
Why is the study of uniform plane waves important : How is the surface current density vector defined? Distinguish it from the volume current density vector.
An atsp optimal solution which is a hamiltonian tour : Show that if the costs associated to the arcs of a complete directed graph G satisfy the triangle inequality property, then there exists in G' an ATSP optimal solution which is a Hamiltonian tour.
What is the percentage price change of bond : Bond J is a 4 percent coupon bond. Bond K is a 11 percent coupon bond. Both bonds have 7 years to maturity, make semiannual payments, and have a YTM of 9 percent. If interest rates suddenly rise by 5 percent, what is the percentage price change of Bo..

Reviews

Write a Review

Financial Management Questions & Answers

  Calculate your total profit from triangular arbitrage

You observe the following three exchange rates at which you can buy or sell (borrow or lend). Calculate your total profit from triangular arbitrage, reporting your total profit in $ (by first calculating the profit in British pounds and then converti..

  Identify financial statement by type of information

Identify financial statement by type of information.- Identify the financial statement where these decision makers can find the following information about Hi Tech.

  What is her monthly payment by add-on method

For the best terms on a loan or credit card, you need a credit score above 700. To achieve this, start establishing credit now. Pay all of your bills on time. In addition, use only one-third of your available credit limit and pay off your revolving b..

  Loan preapproval and low-interest loan

The lowest payment does not necessarily mean the best credit plan. If your car loan is a long period of time, you may end up owing more than the car is worth, which is called Negative equity. Low monthly payments. All of these are potential problems...

  Original responsibility of the federal reserve

Which of the following was not an original responsibility of the Federal Reserve?

  What is the yield to maturity

Using semi-annual compounding, what is the yield to maturity on a 4.65 percent coupon bond with 18 years left to maturity that is offered for sale at $1,025.95? Assume par value is $1000.

  Anticipated favorable changes in the six variables

Why cannot the president of a firm cause the firms market value to increase simply by reporting anticipated favorable changes in the six variables, e.g., an increase in expected return on investment?

  Impact on eps if new shares are issued to fund the centre

Brown needs to raise $500,000 to construct the new amusement centre. Assuming the company can issue new shares at the current market price, what is the impact on EPS if new shares are issued to fund the centre?

  Expectation of holding the gold for period of one year

Jim Lytle, a financial adviser, recommends that his clients invest in gold. Specifically, he is advising a client to invest $100,000 to purchase 175 ounces of gold bullion, with the expectation of holding the gold for a period of one year before sell..

  What is the value of the kentucky fried chicken franchises

Suppose that Bondi Inc. is a holding company that owns both Pizza Hut and Kentucky Fried Chicken Franchised Restaurants. If the value of Bondi is $130 million, and the Pizza Hut Franchises are worth $70 million, then what is the value of the Kentucky..

  Calculate number of futures contracts required for a hedge

Consider a U. S. firm with receivables of BRL 500,000 in 25 days. It hedges this position using a CME BRL futures contract maturing in 45 days. A financial analyst notes that the BRL futures contract tends to change by USD 0.0066 in response to a USD..

  What was book debt-to-value ratio

In 2013 Caterpillar Inc. had about 654 million shares outstanding. Their book value was $33 per share, and the market price was $86.50 per share. The company’s balance sheet shows that the company had $19.7 billion of long-term debt, which was curren..

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