What is required return on the terrapins fund

Assignment Help Financial Management
Reference no: EM131893178

The Terrapins Investment Fund has a total investment of $500 million in five stocks.

Stock               Investment (millions)   Beta

    1                              $150                   .6

    2                              120                1.2

    3                                  80                3.0

    4                                  90                1.8

    5                                  60                1.0

Total                            $500

1. What is the fund’s overall, or weighted average, beta?

2. Refer to the previous problem. If the risk-free rate is 12% and the market risk premium is 6%, what is the required return on the Terrapins Fund?

3. Suppose MGM has a beta of 3.32 and AEP has a beta of 0.28. If the risk-free interest rate = 4.0% and the market risk premium = 10%, according to the CAPM:

A. What is the expected return of MGM stock?

B. What is the expected return of AEP stock?

C. What is the beta of a portfolio that consists of 60% of MGM and 40% of AEP?

D. What is the expected return of that portfolio with the beta that you found in part c.?

E. What is the beta of a portfolio that consists of 40% of MGM and 60% of AEP?

Reference no: EM131893178

Questions Cloud

What was the time of the loan : If he paid back a $6,800 loan with $20 interest at 7.5%, what was the time of the loan?
Company wacc if all the equity used is retained earnings : The target capital structure cosists of 23% debt and 77% common equity. What is the company WACC if all the equity used is retained earnings?
Specializes in buying deep discount bonds : Lance Whittingham IV specializes in buying deep discount bonds. These represent bonds that are trading at well below par value.
Calculate the two projects NPVs-IRRs-MIRRs and PIs : Calculate the 2 projects’ NPVs, IRRs, MIRRs, and PIs, assuming a cost of capital of 11%. Which project should be selected?
What is required return on the terrapins fund : What is the fund’s overall, or weighted average, beta? what is the required return on the Terrapins Fund?
Reflected in the required return of the bonds : The risk premium is now 8 percent and is appropriately reflected in the required return (or yield to maturity) of the bonds.
Retiring early : Retiring early. Over your future investing & retired life, assume you earn 8% [after expenses this time].
What yearly cash flow must project generate to break-even : The bookstore wants a 10.00% return on their investment. What yearly cash flow must this project generate to “break-even”?
Estimate the volatility for each stock : estimate the volatility for each stock

Reviews

Write a Review

Financial Management Questions & Answers

  Company pension plan

A former employee of Chrysler-Benz is vested in company’s pension plan.Justify whether or not he should take the buyout in lieu of the monthly pension payments?

  What is the cost of issuing new preferred stock

The optimal capital structure of the company is 30% debt, 10% preferred stock and 60% equity. What is the cost of issuing new preferred stock?

  The proportion of the optimal risky portfolio

An investor can design a risky portfolio based on two stocks, A and B. Stock A has an expected return of 14% and a standard deviation of 20%. Stock B has an expected return of 10% and a standard deviation of 5%. The correlation coefficient between th..

  What change in nwc occurs at the end of year one

You are evaluating a project for The Tiff-any golf club, guaranteed to correct that nasty slice. What change in NWC occurs at the end of year 1?

  Values for project that requires an initial investment

Calculate the following values for a project that requires an initial investment of $38,370 and has equal annual cash inflows of $10,000 each year for the next 8 years. Assume a cost of capital of 14%. You must show your work within formulas.

  What must the risk-free rate be

A stock has an expected return of 14 percent, its beta is 1.25, and the expected return on the market is 12 percent. What must the risk-free rate be? (Do not round your intermediate calculations.)

  Yield curve shows the relationship between

Yield curve shows the relationship between ___________ .If you, as an individual investor, are interested in purchasing 1000 stocks of Ford Motors, which of the following market should you go to?

  What are internal factors affecting selection and training

For Fire Safety Department, what are the internal factors affecting selection and training? For Fire Safety Department, what are the external factors affecting selection and training?

  Most commonly used monetary policy tool

The discount rate for primary credit is the second most commonly used monetary policy tool.

  Dealing with financial crisis and economic slowdown

The policy action of government, central bank in particular in dealing with financial crisis and economic slowdown in recent years

  What is securitization

What is securitization? Answer in the context of the roles of financial markets; (i) liquidity, (ii) price discovery, and (iii) ease of transactions.

  What are the main components of sustainability

FIN512 What are the main components of sustainability and what are the main objectives of the research paper

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