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(a) Calculate the risk (standard deviation) of the following two-security portfolio in correlation coefficient between the two securities is equal to -0.6.
Return Std. Deviation Weight (in the portfolio)
Security A 10 0.3
Security B 20 0.7
(b) Is it a good idea to combine the above assets (A and B) in a portfolio? Explain in short sentence.
At year-end 2013, Wallace Landscaping total assets were $1.8 million and its accounts payable were $370,000. Sales, which in 2013 were $2.1 million, are expected to increase by 20% in 2014. Total assets and accounts payable are proportional to sales,..
Explain results of your Market Multiples analysis and reconcile the FCF Valuation results with the Market Multiples Valuation results
A company with a return on equity of 15.7% and a plowback ratio of 70% would expect a constant-growth rate of:
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A project has an initial cost of $925, expected net cash inflows of $690.30 per year for 4 years, and a cost of capital of 11.10%. What is the project's discounted payback period?
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