The following 6 companies constitute the index of democratic republic of Kusadikika. Company Today's share price Yesterday's share price A 20 25 Compute the stock market index for today. BCDEF 12 78 100 10 75 96 52 83 53 83
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- PROVIDE COMPUTATIONS!!! 10. What is the book value of the preference shares on December 31, 2018?a. P105 c. P100b. P110 d. P11511. What is the book value of the ordinary shares on December31 2018?a. P13.40 c. P14.15b. P14.52 d. P13.78The following information relates to the prices and dividends of two stocks listed on the Ghana Stock Exchange as well as the average market returns. Stock A Price Year 2011 2012 2013 2014 2015 2016 20 24 26 31 33 40 Dix 0 1.2 0.5 1 1.5 2 Stock B Price 11 13 17 20 23 27 Dix 0 1.6 0.5 0.9 1.2 1.5 Market Returns 0 0.25 0.18 0.11 0.12 0.15 Required. a. Calculate the annual returns for each stock (2012-2016) b. Calculate the average returns for each of the stocks and the market c. Calculate the covariance between the stocks d. Assuming the two stocks are equally weighted, calculate the portfolio return and portfolio riskery//ua/69158/45467554/aHR0cHM6Ly9mMS5hcHAUZW t Activity: Mathematical Models and Investments Part C The table gives prices for gold and the New York Stock Exchange Composite Index, which is a fund that averages all the stocks listed on the exchange. The Bureau of Labor Statistics says the inflation rate between 1980 and 2010 was 174%, or about 3.5% a year. Using the data in the table, compare the volatility and returns of gold and the index fund. Finally, use the inflation rate to compare the real rates of return of the two investments. If a friend invested $1,000 in 1980, which investment would make her the most money? Gold (one ounce) NYSE Composite BIU X² X₂ Jan. 1980 $850 $682 15px Jan. 1990 $406 $1,937 Space used (includes formatting): 0/ 15000 O A 2 Jan. 2000 $287 $6,772 1 2 Jan. 2010 $1,104 $7,140 Return 30% 947% 田く 7 of 11 Apr 15 Annual Return 1% Part D Eliza has only one investment: $15,000 in stock shares of IFruit Computing. The stock's annual returns for the last 10 years…
- Question 3 The table below provides the end-of-year share prices (in GB pence) for Centrica plc and National Express Group plc the end-of-year values for the FTSE 100 Index, which is a proxy for the market portfolio, M. YEAR Centrica plc National Express Group plc Market Portfolio, M 2002 224.7 151.5 199.5 205.8 292.6 187.4 3940.4 2003 4476.9 4814.3 5618.8 6220.8 6456.9 4434.2 5412.9 2004 337.7 2005 2006 2007 2008 235.5 327.6 293.0 256.1 465.2 451.7 545.4 607.1 168.8 207.1 243.6 2009 2010 2011 2012 2013 268.1 317.8 291.6 348.3 309.6 5899.9 5572.3 5897.8 6749.1 216.1 206.5 290.9 2014 6566.1 6242.3 7142.8 2015 292.5 254.9 2016 204.0 301.9 223.5 133.1 136.1 2017 337.8 7687.8 2018 366.2 393.9 6728.1 7542.4 2019 Source: Yahoo Finance. Required: (a) Calculate the systematic risk (82 x o, the non-systematic risk (o2) – (8? x o?) and the total risk (of) of the equity shares of Centrica and National Express Group. (b) Which company's returns are better explained by the market's returns? (c)…11. Market Indexes. The accompanying table shows annual stock prices on the Sulaco Stock Exchange in the republic of Costaguana for 2013–2018. Construct two stock market indexes, one using weights as in the Dow Jones Industrial Average and the other using weights as in the Standard & Poor’s Composite Index. (LO11-2) Please answer this question in simple steps. Find the attached screenshot with valuesYear AT&T Stock Returns Market Index Returns 1 8 6 2 7 3 3 10 12 4 14 13 5 8 9 Compute the correlation coefficient between AT&T and the Market Index. Enter answer using 3 decimal places. Example 0.123
- The following information relates to the prices and dividends of two stocks listed on the Ghana Stock Exchange as well as the average market returns. Stock A Stock B Year Price Div Price Div Market Returns 2011 20 0 11 0 0 2012 24 1.2 13 1.6 0.25 2013 26 0.5 17 0.5 0.18 2014 31 1 20 0.9 0.11 2015 33 1.5 23 1.2 0.12 2016 40 2 27 1.5 0.15 Required. 1. Using the market returns, calculate the beta of each of the stocks.The following information relates to the prices and dividends of two stocks listed on the Ghana Stock Exchange as well as the average market returns. Stock A Stock B Year Price Div Price Div Market Returns 2011 20 0 11 0 0 2012 24 1.2 13 1.6 0.25 2013 26 0.5 17 0.5 0.18 2014 31 1 20 0.9 0.11 2015 33 1.5 23 1.2 0.12 2016 40 2 27 1.5 0.15 Required. Calculate the annual returns for each stock (2012-2016) Calculate the average returns for each of the stocks and the market Calculate the covariance between the stocks Assuming the two stocks are equally weighted, calculate the portfolio return and portfolio riskThe following information relates to the prices and dividends of two stocks listed on the Ghana Stock Exchange as well as the average market returns. Stock A Stock B Year Price Div Price Div Market Returns 2011 20 0 11 0 0 2012 24 1.2 13 1.6 0.25 2013 26 0.5 17 0.5 0.18 2014 31 1 20 0.9 0.11 2015 33 1.5 23 1.2 0.12 2016 40 2 27 1.5 0.15 Required. 1. Calculate the annual returns for each stock (2012-2016) 2. Calculate the covariance between the stocks 3. Assuming the two stocks are equally weighted, calculate the portfolio return and portfolio risk
- Suppose you have the following information from Muscat stock market Stock Share outstanding Base day Closing price Second day closing price Salalah company 18 3 2.8 Dhofar power company 26 2.8 3.1 Oman company 10 4.1 2.1 Dhofar bank 28 3 1.8 Calculate 1. Price weighted index 2. Value weighted index plz show stepsQuestion 3 The table below provides the end-of-year share prices (in GB pence) for Centrica plc and National Express Group plc the end-of-year values for the FTSE 100 Index, which is a proxy for the market portfolio, M. | YEAR Centrica plc National Express Group plc Market Portfolio, M 2002 224.7 292.6 187.4 337.7 465.2 451.7 3940.4 151.5 199.5 2003 4476.9 2004 4814.3 2005 2006 205.8 5618.8 6220.8 6456.9 4434.2 235.5 2007 2008 327.6 293.0 256.1 268.1 545.4 607.1 2009 168.8 5412.9 207.1 243.6 216.1 5899.9 5572.3 5897.8 6749.1 2010 2011 2012 2013 317.8 291.6 348.3 309.6 292.5 204.0 223.5 133.1 206.5 2014 290.9 6566.1 6242.3 7142.8 7687.8 6728.1 7542.4 2015 2016 2017 254.9 301.9 337.8 2018 366.2 2019 136.1 393.9 Source: Yahoo Finance. Required: (a) Calculate the systematic risk (B2 x a, the non-systematic risk (o) – (B? x o2) and the total risk (of) of the equity shares of Centrica and National Express Group. (b) Which company's returns are better explained by the market's returns? (c)…What technical aspects does it study? As an investor what would you conclude from this chart? Chart 2 280- 240- 200- 160- 120- 80- 40- 0- 1996 1998 S Apple Share Price Jan. 1995 to Apr. 2010 2000 C יויייןווון-וון זון ון ***** 2002 2004 2006 2008 2010