What is the standard deviation of the revised portfolio

Assignment Help Financial Management
Reference no: EM131055835

Research reported in the chapter shows that the correlation between the U.S. and Japanese stock markets is 0.35. Assume that the standard deviations of the two markets are 15 percent and 18 percent, respectively. All statistics pertaining to the Japanese market use return data converted into USD. An investor redeploys USD 10 million out of a USD 40 million U.S. stock portfolio into Japanese stocks. A. What is the variance of the revised portfolio? B. What is the standard deviation of the revised portfolio? C. Based solely on portfolio standard deviation, do you think this is a good move?

Reference no: EM131055835

Questions Cloud

Nominal versus effective cost of debt : Nominal Versus effective cost of debt: Black & Decker–a U.S. multinational manufacturer of small power tools–is considering financing a plant expansion in France with euro(¤) Eurobonds. Would your answer change if exchange losses on principal repayme..
Generate an additional cashflow after tax : The firm is considering the purchase of a new machine. The machine costs $31,500 and will produce an after-tax cash flow of $5481 per year at the end of each of the next 9 years. The disposal of equipment will generate an additional cashflow after ta..
What is the firm cost of retained earnings : The firm has net income of $2 million, Sales of $15 million, total assets of $14 million, common equity of $9 million, and common dividend of $1 million, and 1 million shares outstanding with a total market value of $23 million. What is the firm's co..
Confidence interval for the true proportion of high school : Dylan wants to determine a 99 percent confidence interval for the true proportion of high school students in the area who attend their home basketball games. How large of a sample must he have to get a margin of error less than 0.04? [To find n, u..
What is the standard deviation of the revised portfolio : Research reported in the chapter shows that the correlation between the U.S. and Japanese stock markets is 0.35. Assume that the standard deviations of the two markets are 15 percent and 18 percent, respectively. What is the variance of the revised p..
Describe what working capital practices : Describe what working capital practices, including methods of capital budgeting analysis techniques. Analyze the potential pitfalls in capital budgeting practices that a business should be aware of. Develop a simple statement of cash flows for the bu..
Create a script that creates a random vector : Create a function called "hollowSphere" that calculates the volume using the formula shown in Problem I. Then write a script that prompts the user for the value of the inner radius and outer radius, your script will then call the function that you..
Annual interest tax shield and debt issuance : In recent years, Haverhill Corporation has averaged a net income of $10 million per year on net sales of $100 million per year. It currently has no long-term debt, but is considering a debt issue of $5million. The interest rate on the debt would be 6..
Confidence the proportion of all americans : In a random sample of 750 Americans, 39.1% indicated that they have a cat for a pet. Estimate with 93% confidence the proportion of all Americans that have cats as pets. (Give the confidence interval in percentages.)

Reviews

Write a Review

Financial Management Questions & Answers

  What is the expected standard deviation of the portfolio

What is the expected standard deviation of the portfolio of the two stocks? Which stock is the better buy in the current market? Why?

  Discounting-according to economic theory

Discounting. According to economic theory, agricultural land values (prices) equal the present value of expected future rents, where rents are calculated as the difference between revenue received and production costs. Houses. Suppose you have an off..

  Markets efficiency is affected by the number of transactions

Do you think a market's efficiency is affected by the number of transactions that take place, the amount of time it takes to complete the transaction and the number of buyers and sellers present? How do these questions relate to the Primary and Secon..

  What is the risk premium assessed for this opportunity

An investor considering an opportunity that promises to provide 12% returns. They have obtained an estimate of their risk free rate, which is 3%. What is the risk premium assessed for this opportunity? What does the risk premium mean in this example?

  Decide to open an individual retirement account

You decide to open an individual retirement account (IRA) at your local bank that pays 11%/year/year. At the end of each of the next 40 years, you will deposit $4,000 per year into the account (40 total deposits). 3 years after the last deposit, you ..

  What is the feature of a corporate bond that protects

What is the feature of a corporate bond that protects the purchaser of the bond from moral hazard problems on the part of the borrower?

  Referring to the manipulation of the numbers

Referring to the manipulation of the numbers, from our discussion last week, most of us can conclude that "risk is risk" and that while yes, there are certain forms of risk (unsystematic) that can be diversified, generally it still exists and cannot ..

  The influence of web-based information on global citizenship

Examine the influence of web-based information on global citizenship and multicultural understanding. Then, compile a list of three factors you believe should be considered when evaluating Internet sources for use in researching information.

  How much is the regular monthly principal and interest

On January 1, 2016, you take out a mortgage loan in the amount of $1,000,000 to buy a piece of development property. Interest will accrue on your loan at 4.5%, fixed. Monthly payments of principal and interest will be required on the first of each mo..

  Start bakery business

You want to start a bakery business. For this, you will need a capital of $ 75,000 to start operating. If you have to operate within 4 years. That sum total should now invest 12% quarterly composite, the amount needed to keep and operate your busines..

  Target debt–equity ratio-what is its pretax cost of debt

Kose, Inc., has a target debt–equity ratio of 1.55. Its WACC is 9.8 percent, and the tax rate is 40 percent. If Kose’s cost of equity is 15 percent, what is its pretax cost of debt? If instead you know that the aftertax cost of debt is 6.8 percent, w..

  Use present worth-annual cost and rate of return methods

An electrical energy audit indicates that the motor control center consumption is 8´106 kWh per year. By using high efficiency motors, a savings of 15% can be achieved. The additional cost for these motors is about $80,000. Assuming that the average ..

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