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1. Which of the following parties, according to academic research, is the less likely to benefit from takeover activity?
a) Merchant banks and other financial institutions.
b) Target company shareholders.
c) Acquiring company shareholders.
d) Management of the acquiring company.
2. A company wants to return funds without signalling that all future dividends will be raised abnormally. Which of the following is the simplest method to adopt?
a) Interim dividends.
b) Special dividends.
c) Share buy-backs.
d) Scrip dividends.
(Break-even point and selling price) Tenny Inc. is planning to sell 50,000 units of its products next year. Fixed costs will total €6 million, and the variable.
1. secure the 2011 annual report and 10k for that company from its website and describe operations and location.2.
FIN5MRM- Market Risk Management-Calculate the 95% daily portfolio VaR using the basic methodology of the historical simulation approach.
Enrique borrowed $3600 to put a down payment on a motorcycle. The loan had simple interest rate of 8% for 2 years. find amount of interest he will pay on loan.
In presentation format (slides), explain risk management to your new staff and distinguish between the 3 factors of financial risk as it pertains to the banking industry.
Discuss why risk attribution applied to Markowitz efficient portfolios does not lead to perfect consistency with performance attribution.
An investor wants to diversify her portfolio and decides to invest in a Vanguard REIT (real estate investment trust) Index Fund
examine the main effect that relative inflation could have on the selected company's translation and transaction exposures from subsidiaries abroad.
You buy one put option on the stock and pay $3 for it. One year later, the price is $75. What is your total profit?
The definition of emerging markets is a financial market of a developing country usually a small market with a short operating history
how the formula for risk can be applied to the organization and Describe how risk assessment is related to security controls or safeguards
How could you connect the best linear unbiased estimate combining K forecasts for each of N assets to an approach estimating factor portfolios for each of the K forecasts.
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