Which security is more risky and why?

Assignment Help Finance Basics
Reference no: EM131100714

Security A has an expected rate of return of 6 percent, a standard deviation of expected returns of 30 percent, a correlation coefficient with the market of - 0.25, and a beta coefficient of 0.5. Security B has an expected return of 11 percent, a standard deviation of returns of 10 percent, a correlation with the market of 0.75, and a beta coefficient of 0.5. Which security is more risky? Why?

Reference no: EM131100714

Questions Cloud

Construct a scatter diagram showing the relationship : You are given the following set of data: Construct a scatter diagram showing the relationship between returns on Stock Y and the market. Use a spreadsheet or a calculator with a linear regression function to estimate beta. b. Give a verbal interpreta..
Use a spreadsheet to determine stock x''s beta coefficient : a. Use a spreadsheet (or a calculator with a linear regression function) to determine Stock X's beta coefficient.b. Determine the arithmetic average rates of return for Stock X and the NYSE over the period given. Calculate the standard deviations of ..
Solve a spreadsheet model for this problem : At a small but growing airport, the local airline company is purchasing a new tractor for a tractor-trailer train to bring luggage to and from the airplanes. A new mechanized luggage system will be installed in 3 years, so the tractor will not be ..
Concept of entrepreneurial motivation : 1. What is the concept of entrepreneurial motivation and how has it been depicted? 2. Explain the concept of entrepreneurial persistence and how it is being examined.
Which security is more risky and why? : Security A has an expected rate of return of 6 percent, a standard deviation of expected returns of 30 percent, a correlation coefficient with the market of - 0.25, and a beta coefficient of 0.5. Security B has an expected return of 11 percent, a st..
Cultural difference for michael : Describe Michaels hearing disorder and the competency based individualized strategies for supporting him in a school setting.
Define the portfolio feasible set using graphs or equations : Define the following terms, using graphs or equations to illustrate your answers wherever feasible:a. Portfolio; feasible set; efficient portfolio; efficient frontier b. Indifference curve; optimal portfolio c. Capital Asset Pricing Model (CAPM); Cap..
Dependent on sophisticated data mining techniques : As organizations become more and more dependent on sophisticated data mining techniques to uncover new value streams, data management practices have been forced to respond to the often unique requirements presented by data mining professionals.
Define the disability : Interview a minimum of two teachers and/or staff of an educational program for students with multiple disabilities. Discuss the following: Define the disability, Needs of the students , Characteristics of the special need students and Medical impli..

Reviews

Write a Review

Finance Basics Questions & Answers

  Value of foreign stocks in an investment portfolio

Discuss the value of foreign stocks in an investment portfolio. Do you want them? If so, which ones? Do you diversify the classes as you would domestic stock?

  Calculating the npv for the investment

Seattle Corp. is looking at an investment which will result in cashflows of $30,000 per year in years 1 thru 4, $35,000 per year in years 5 through 9, and $40,000 in year 10. The project will cost $150,000 today, and the firm's required rate of re..

  How much must they contribute to acheive a current ratio

If the owners of the company decide to contribute additional equity capital that will be invested in inventory, how much must they contribute to acheive a current ratio of 3.0?

  The book value of the bonds on april 30 was 144600 bond

on april 30 2010 one year before maturity red products inc. retired 150000 of 8 bonds payable at 103. the book value of

  In the us 90-day investments of similar risk have 4

suppose 90-day investments in britain have a 6 annualized return and a 1.5 quarterly 90-day return. in the u.s. 90-day

  Nyeil inc is a consumer products firm that is growing at a

1. nyeil inc. is a consumer products firm that is growing at a constant rate of 7.0 percent. the firmrsquos last

  Develop a three- to four-page analysis excluding the title

develop a three- to four-page analysis excluding the title page and reference pages on the projected return on

  You are trying to pick the least-expensive car for your new

you are trying to pick the least-expensive car for your new delivery service. you have two choices the scion xa which

  A firm has current liablities of 700 a current ratio of

a firm has current liablities of 700 a current ratio of 104 anda quick ratio of 0.7. calculate the level of inventory

  Assume that stocks return 10 percent with a standard

assume that stocks return 10 percent with a standard deviation of 10 percent and bonds return 6 percent with a standard

  What is the purpose of the federal reserve

What is the purpose of the Federal Reserve? Explore and discuss its economic goals. How does the Fed pursue its economic goals? What is behavioral finance?

  Mr huskers tuxedos corp ended the year 2012 with an average

mr. huskers tuxedos corp. ended the year 2012 with an average collection period of 38 days. the firms credit sales for

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