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- 1) Using the Black and Scholes formula, for each payoff compute the price, delta and probability of being exercised: 1a) A call, K=90, So=100, T=0.25, o=0.2 and r=0.01. 1b) A put, K=37, So=35, T=0.3, o=0.3 and r=0.02. 1c) A call, K=23, So=24, T=5 months, o=24% and r=2%. 1d) A call, K=95% of So, So=50, T=9 months, o=50% and r=3%. 1e) A put, K=97% of So, So=95, T=1 year, o=D30% and r=2%. 1f) An "at-the-money" straddle, So=95, T = 3 months, o=35% and r=2%.Suppose you want to establish a bullish spread strategy. The are two call options. The first one has X1=$50 and C1=$5. The second one has X2=$42 and C2=$6. When the underlying asset price is S(t)=$45, what is the profit from the strategy? What is the maximum profit of the strategy? What is the minimum payoff of the strategy?Consider a two-factor Arbitrage Pricing Theory (APT) model, T; = a; + b1,ifı + b2.i f2 + €i, with the following information Asset i Asset 1 0.07 0.50 0.25 Asset 2 0.15 1.10 0.75 Asset 3 0.20 b1,3 Hi b1i b2i 1.0 and the risk-free rate rp is 0.025. (a) Find the value of b13 to preclude arbitrage opportunity. (b) is an Asset 4 with 4 = 0.13, b14 = 0.8, and b2.4 = 0.4. Explain how you would exploit an arbitrage opportunity if there
- Q7. Using the arbitrage theorem, find the value of C for the data given So = 90, S1a= 130, S1b = 75, K= 105. Q8. Derive the first order partial derivative of the Black-Scholes option cost C with respect to r.Use the put-call parity relationship to demonstrate that an at-the-money call option on a nondividend-paying stock must cost more than an at-the-money put option. Show that the prices of the put and call will be equal if S0 = (1 + r)T..S1. Q6 What are the five assumptions in the Black-Scholes Merton model for option pricing?
- a) Plot the payoff and profit of the following options based strategy: Buy 3 puts with strike 100, sell 4 puts with strike 110 and buy 1 put with strike 140. Explain all your calculations. b) If the price of the put with strike 100 is $8 and the price of the put with strike 140 is $16, what can you say about the price of the put with strike 110? ExplainWhat is the Delta of an at-the-money binary option with a payoff 0 at < $100, and payoff 1 at ≥ $100, as it approaches expiry?Use the following payoff matrix for a one-shot game to answer the accompanying questions. Player 1 Strategy A B Player 2 Y 12, 12 6,-30 -30, 6 30, 30 a. Determine the Nash equilibrium outcomes that arise if the players make decisions independently, simultaneously, and without any communication. Instructions: In order to receive full credit, you must make a selection for each option. For correct answer(s), click the box once to place a check mark. For incorrect answer(s), click twice to empty the box. ?(-30, 6) ? (12, 12) ? (6.-30) ? (30, 30) Which of these outcomes would you consider most likely? O (30,30) O (-30, 6) O (12, 12) O (6.-30) b. Suppose player 1 is permitted to "communicate" by uttering one syllable before the players simultaneously and independently make their decisions. What should player 1 utter? OA OB What outcome do you think would occur as a result? O (12, 12) O (-30, 6) O (30,30) (6,-30) c. Suppose player 2 can choose its strategy before player 1, that player 1…
- 2. Derive the single - period binomial model for a put option. Include a single - period example where: u = 1.10, d = 0.95, Rf = 0.05, SO = $100, X = $100. 3. Assume ABC stock's price follows a binomial process, is trading at SO = $100, has u 1.10, d = 0.95, and probability of its price increasing in one period is 0.5 (q = 0.5). a. Show with a binomial tree ABC's possible stock prices, logarithmic returns, and probabilities after one period and two periods. . b. What are the stock's expected logarithmic return and variance for 2 periods and 3 periods? c. Define the properties of a binomial distribution.Question: There are three securities in the market. The following chart shows their possible payoffs: &n... Edit question There are three securities in the market. The following chart shows their possible payoffs: State Probabilityof Outcome Return on Security 1 Return on Security 2 Return on Security 3 1 .14 .199 .199 .049 2 .36 .149 .099 .099 3 .36 .099 .149 .149 4 .14 .049 .049 .199 a-1. What is the expected return of each security? (Do not round intermediate calculations and enter your answers as a percent rounded to 2 decimal places, e.g., 32.16.) Answer 12.40% a-2. What is the standard deviation of each security? (Do not round intermediate calculations and enter your answers as a percent rounded to 2 decimal places, e.g., 32.16.) Answer 4.50% b-1. What are the covariances between the pairs of securities? (A negative answer should be indicated by a minus sign. Do not round intermediate calculations and round your…Data: So=102; X = 115; 1 + r=1.1. The two possibilities for ST are 146 and 84. Required: a. The range of S is 62 while that of P is 31 across the two states. What is the hedge ratio of the put? b. Form a portfolio of one share of stock and two puts. What is the (nonrandom) payoff to this portfolio? c. What is the present value of the portfolio? d. Given that the stock currently is selling at 102, calculate the put value. × Answer is not complete. Complete this question by entering your answers in the tabs below. Required A Required B Required C Required D What is the present value of the portfolio? Note: Round your answer to 2 decimal places. Present value $ 146.00 x