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Finance: HPR, Annualized holding period return, Effective annual rate on investment
Question
You purchased 100 shares of General Motors stock at a price of $98.64 one year ago. You sold all stocks today for $100.44. During the year, the stock paid dividends of $5.60 per share. What is your holding period return?
Without considering the additional educational years or the time value of money, what is your expected starting salary as well as the standard deviation of that starting salary?
The probability of a recession has increased to 30% and the probability for a normal state of economy is now 40%. The market risk premium has increased by 1% as well. What is the standard deviation of Stock I and II respectively?
at stage 2 of the decision tree it shows that if a project is successful the payoff will be 53000 with a 23 chance of
Why would a sole proprietor/ partnership need to prepare a budget, and what type of budget would be needed? Explain the things that might be taken into consideration when prioritising income and expenditure requirements for a budget.
Company A shares are currently trading at $20 per share. A survey of Wall Street analysts reveals that EPS expectations for Company A for the full year 2008 are $1.50 per share.
An option on a stock has the following data: S = $60.36; E = $60; r = 1.75%; T = 18 days; std dev = 0.674 (i.e. 67.4%); market price of call = $3.50.
given the information in the following table compute the days in accounts receivable aging schedule and accounts
Illinois Industries has decided to borrow money by issuing perpetual bonds with a coupon rate of 6.0 percent, payable annually. The one-year interest rate is 6.0 percent. Next year, there is a 45 percent probability that interest rates will increa..
Discuss two reasons for using futures rather than selling bonds to hedge a bond portfolio. No calculations required
the long-term liability section of twin digital corporations balance sheet as of december 31 2012 included 14 bonds
carry out research through a website search into two major property companies with different approaches to managing
why is it possible for investments to have a higher net present value than a competing investment but still have a
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