Securities in which fund invests increase in value

Assignment Help Financial Management
Reference no: EM131323894

You purchased 1,000 shares of the New Fund at a price of $20 per share at the beginning of the year. You paid a front-end load of 4.25%. The securities in which the fund invests increase in value by 16.75% during the year. The fund's expense ratio is 1.20%. What is your rate of return on the fund if you sell your shares at the end of the year?

Reference no: EM131323894

Questions Cloud

Calculate present value of interest tax shields generated : You are a first-year analyst at Bayou Capital. You have been tasked with calculating the present value of all interest tax shields that will be generated in the firm’s latest leveraged buyout. The LBO target will have the following amounts of debt ou..
Time line is not meaningful unless cash flows occur annually : Your aunt is about to retire, and she wants to sell some of her stock and buy an annuity that will provide her with income of $50,000 per year for 30 years, beginning a year from today. The going rate on such annuities is 7%. How much would it cost h..
Your bank account pays nominal rate of interest : Your bank account pays an 8% nominal rate of interest. The interest is compounded quarterly. Which of the following statements is CORRECT?
Calculate showboat firm value using the apv method : Showboat Inc., a publicly traded gaming chain, is currently an all-equity financed firm. Barkshire Hatsaway is planning to acquire this firm to hold it in its portfolio of firms forever. Showboat is projected to earn a free cash flow of $50 million i..
Securities in which fund invests increase in value : You purchased 1,000 shares of the New Fund at a price of $20 per share at the beginning of the year. You paid a front-end load of 4.25%. The securities in which the fund invests increase in value by 16.75% during the year. The fund's expense ratio is..
Does the campaign produce a profit : (E-commerce) Use the Online Consumer Purchasing Model, Figure 6.11 in Chapter 6, to assess the effectiveness of an e-mail campaign at a small website devoted to the sales of apparel to the young adult market (ages 18–26) in the United States. Does th..
Create semi-annual operating budget : The Miami Art Museum (MAM) is working on the budgets for the 2008 fiscal year, which runs from January 1 through December 31. When the new gallery opens, the Museum forecasts that its average monthly attendance will increase to 13,000. Create a semi-..
Additional cash must you deposit in your brokerage account : The price of a share of A stock is $60.90 and you sells short 5,000 shares. The broker’s initial margin requirement is 50% and you deposits additional cash into your brokerage account to meet that margin. How much additional cash must you deposit in ..
What are the standard deviation and expected return : You are going to invest in Asset J and Asset S. Asset J has an expected return of 14.8 percent and a standard deviation of 55.8 percent. Asset S has an expected return of 11.8 percent and a standard deviation of 20.8 percent. The correlation between ..

Reviews

Write a Review

Financial Management Questions & Answers

  About the nonconstant growth stock valuation

Assume that the average firm in your company's industry is expected to grow at a constant rate of 7% and that its dividend yield is 5%. Your company is about as risky as the average firm in the industry, but it has just successfully completed some R&..

  Why do large banks organize themselves this way

Large banks often borrow heavily in the federal funds market and maintain small investment portfolios relative to their asset size. Are these offsetting risk positions? Why do large banks organize themselves this way?

  What is the length of the annuity time period

You are considering an annuity which costs $75600 today. The annuity pays $6900 a year. The rate of return is 6 percent. What is the length of the annuity time period? please provide numbers to enter into calculator.

  Compute the yield to call

A 4.25 percent coupon municipal bond has 13 years left to maturity and has a price quote of 105.10. The bond can be called in eight years. The call premium is one year of coupon payments. (Assume interest payments are semiannual and a par value of $5..

  Required return must investors be demanding on storico stock

Storico Co. just paid a dividend of $1.90 per share. The company will increase its dividend by 20 percent next year and will then reduce its dividend growth rate by 5 percentage points per year until it reaches the industry average of 5 percent divid..

  Calculate time-interest-earned-times-burden-covered ratio

As the chief financial officer of Cascade Designs, Calculate Cascade's time-interest-earned ratio for next year assuming the firm raises $70 million in new debt at an interest rate of 6%. Calculate Cascade's times-burden-covered ratio for next year a..

  Current ratio of a firm would be increased

The current ratio of a firm would be increased by which of the following?

  What is the company unlevered cost of equity capital

Wice Shy Industries has a debt−equity ratio of 1.6. Its WACC is 8.6 percent, and its cost of debt is 6.1 percent. The corporate tax rate is 35 percent. What is the company’s cost of equity capital? What is the company’s unlevered cost of equity capit..

  Calculate the intrinsic value of warrant and market premium

ABC Co. has warrants that allow the purchase of two shares of its common stock at $30 per share. The common stock price per share is $33 and the market value of the warrant is $8. Calculate the intrinsic (theoretical) value of the warrant and its mar..

  What should the arbitrageur do

The price of gold is currently $1,000 per ounce. The forward price for delivery in 1 year is $1,200. An arbitrageur can borrow money at 10% per annum. What should the arbitrageur do? Assume that the cost of storing gold is zero and that gold provides..

  What is the initial cash flow

A call with a strike price of $70 costs $7.38. A put with the same strike price and expiration date costs $3.56. If you create a straddle, what is the initial cash flow? If it's a cash outflow, answer in a negative number.

  Currency forward market and a futures market

Explain the basic differences between the operation of a currency forward market and a futures market and calculate the intrinsic value and the time value of the call and the put option.

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