An example of a(). fund is one that invests exclusively in securities from Europe, Australasia, and Far East. O target-date O international O global O SRI
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- Investors who have international investments are subject to I. political risk II. currency risk III. regulatory risk A I and III B I and II C II and III D I, II, and IIIWhich of the following instruments has the highest cost? Seleccione una: a. Fed Funds b. Commercial Paper c. Eurodollars d. Prime rateWhich of the following is a risk particular to international funds? Select one: A. Liquidity risk B. Political risk C. Currency risk D. Competition risk
- H2. please choose an Exchange Traded Fund (ETF) and discuss the characteristics of this ETF. Pick any ETF of your choice. Please include: Description Ticker Market value Share Price Strategyabout SOFR and LIBOR a SOFR represents the interest rate of the unsecured funds LIBOR is a good proxy of the risk-free rate SOFRS include triparty repo data from the Bank of New York Mellon (BNYM) and the Depository Trust & Clearing Corporation (DTCC). LIBOR now in 2020 is still the most influential interest rate in the international market.18. Sell-side participants in the foreign exchange market are most likely to include: A. banks. B. hedge funds. C. insurance companies.
- An exchange fund with an objective of investing in stocks considered to be a need versus want by the market is a(n) ______ Balanced Fund Growth Fund Value Fund Index Fund An Exchange Traded fund with an objective of both growth and income is a(n) An open-end investment company Value Fund Balanced FundWhich of the following is a function of the primary capital market a. To allow the Foreign Institutional Investors (FIls) to invest in the Indian capital markets b. To allow the companies to raise funds to meet their short term funds requirements through new securities O c. To provide a market for trading with the outstanding long term securities O d. To provide a market for trading with the existing short term securitiesIn what ways do investors quantify the risk levels between domestic and foreign securities? What asset allocation strategies and weightings would you consider when investing in international securities? Explain your reasoning.
- Explain each of the investment instruments stated below that offered by financial institutions. These are the investment instruments you like to invest. Explain and justify why. Commodities Mutual funds Exchange-traded fundsExplain measures and techniques used to manage international portfolio investments. Then, contrast determinants of MNC direct foreign investments in advanced countries versus emerging nations.Consider a capital market with two securities. The payoffs of these securities in the two equally likely states of the world are given in the table below. Payoff Price Security A в State 1 State 2 PA = 2 Pg = 3 4 2 3 4 a) Discuss the concepts of complete capital markets, pure (Arrow-Debreu) securities, and pure factor portfolios. Establish whether the capital market in this case is complete and determine the prices of the pure securities by arbitrage.