Which of the following statements best represents BergAwesome? (%)? (recurring content question) O BergAwesome is an appropriate candidate for one seeking a little above average risk. O BergAwesome is an appropriate candidate for an investor seeking high risk. O None of the choices are correct. O BergAwesome is an appropriate candidate for an investor with low tolerance for risk. O BergAwesome is an appropriate candidate for an investor willing to bear average risk.
Q: The line and arrows at the top of the graph.show: Lilly Ell&Co. (LY) Stod Charts.com
A: The graph shown in the question relates to technical analysis of a stock. In case of technical…
Q: Melanie bought a used car for $10,000. (S) he put $100 down and financed the balance with the dealer…
A: The add-on interest is a method of calculation of interest where the interest is added first and the…
Q: Complete the following using present value. (Use the Table 12.3.) Note: Do not round intermediate…
A: Present value refers to the money present today that is more worthful than the amount will receive…
Q: CSUN receives a $15 million grant to train middle and high school science and math teachers. The…
A: The modified Benefit/ cost ratio is a more advanced formula for defining the profitability of the…
Q: What is the expected return of the following portfolio? Amount Stock Invested A $42,240 B $26,201 C…
A: Expected return of a portfolio is the weighted return. Weight for each Stock is determined and then…
Q: Mr. Maillet has contributed $138.00 at the end of each month into an RRSP paying 6% per annum…
A:
Q: Using this table as needed, calculate the required information for the mortgage. (Round dollars to…
A: Mortgages A mortgage is an agreement between the lender and the borrower in which the lender can…
Q: Happyface Corporation is about to launch a new product. Depending on the success of the new product,…
A: There is equal chance of 5 values ext year. Hence, the probability for each is 100%/5 = 20%. risk…
Q: aviar Jones - Is 39 years old. He graduated from Medical School 7 years ago and is finally done with…
A: There is need of planning for the futures so that proper planning will results in good money in the…
Q: Which of the following is TRUE regarding unemployment insurance? O The federal government mandates…
A: The government of the United States gives many benefits to their country's people, such as homes,…
Q: You are evaluating two investment alternatives. One is a passive market portfolio with an expected…
A: Calculation of Sharpe ratio of actively managed fund.
Q: New-Project Analysis The Campbell Company is considering adding a robotic paint sprayer to its…
A: NPV NPV is a capital budgeting tool to decide on whether the capital project should be accepted or…
Q: Real Property/Land ownership includes air rights and subsurface materials. Group of answer choices…
A: “Since you have asked multiple questions, we will solve the first question for you. If you want…
Q: 4. A stock has a ß of .9. A security analyst who specializes in studying this stock expects its…
A: Using CAPM we will calculate the expected return and then will compare with Analyst's expectation.…
Q: You can obtain expensive loans from Select one: a. chartered banks and credit unions. b. banks…
A: The borrower takes the loan from bank or other financial institutions. The loan can also be obtained…
Q: Below is the top of the limit order book for Microsoft. An investor wants to buy 200 shares. What…
A: Bid price is the price at which investor wants to purchase the shares and ask price is the price at…
Q: You have the opportunity to make a one-time sale if you will give a new customer 30days to pay. You…
A: The giving credit to the customers is very risky because there would cost of credit and also there…
Q: Use the information below to calculate WACC given the Market Capitalization of the company:…
A: Free Cash Flow (FCF) of the firm is calculated using EBIT. Value of a firm is the present value of…
Q: In year 1, AMC will earn $2,200 before interest and taxes. The market expects these earnings to grow…
A: You have asked a question with endless number of sub parts. Only the first three sub parts have been…
Q: An investor invests 30% of his wealth in a risky asset with an expected rate of return of 0.15 and a…
A: Portfolio's expected return is calculated using following equation Portfolio's expected return =…
Q: the following cases, state which type of exchange rate risk the company is facing and wheter this…
A: When doing business at international levels exchange rate is very important and there are many…
Q: Which of the following are common POSITIVE bank covenants? Indicate ALL that apply. Achieve a…
A: Positive bank covenant are the covenants meant for maintaining the financial health and well-being…
Q: Compute RNOA, Net Operating Profit Margin, and NOA Turnover Selected balance sheet and income…
A: The operating asset turnover ratio indicates the efficiency of the company in terms of the…
Q: 16. Training opportunities fall under which category of returns for work? O A. Total compensation O…
A: All forms of salary and perks are included in an employee's total compensation. In addition to basic…
Q: Nicholas is 25 years old. He earns $10,000 a year while completing grad school. He does not need any…
A: We have the quantum and timing of the investment. We need to find the accumulated value after a…
Q: Netflix has a beta of 2.25 and an expected return of 18%. If the expected return on the market is…
A: Required rate of return of security will be calculated by considering the risk free rate as well as…
Q: Historically small firm stocks have earned higher returns than large firm stocks. When viewed in the…
A: Before investing in any security, investors should determine how much return they can earn from the…
Q: When the present value of the cash flows on a large bond portfolio changes because one the issuers…
A: The correct choice here , is the last option , which is option D. When the present value of the cash…
Q: BergAwesome is an appropriate candidate for one seeking a little above average risk. O BergAwesome…
A: Systematic or market risk is the risk that affects all the companies across all the sectors in the…
Q: Old Age Security (OAS) differs from the CPP in many ways. Which of the following statements does…
A: Old age security (OAS) and Canada Pension Plan (CPP) both are old age pension plans. CPP is not a…
Q: When Dan signed a three-year contract as a manager, the company allowed reimbursement of $420 at the…
A: The PV of a contract refers to the value of the future cash flows of the contract after they have…
Q: Calculate the accrued interest (in $) and the total proceeds (in $) of the bond sale. (Round your…
A: Accrued interest It is the unpaid interest, due in between two payments. The accrued interest is…
Q: Sam got a job at the Brick. He plans to save $500 every month for 3 years to buy a car. The savings…
A: The periodic regular payment made either to accumulate funds for a particular purpose or to repay a…
Q: Cash flow stream for 2 projects are given below: Year 1 2 3 4 Project A $ 300 400 50 50 Project B $…
A: Concept. 1. Payback period is the time required to recover initial investment. Project having lower…
Q: How much does the average mechanic earn in November? $_ MONTHLY EARNINGS OF AVERAGE MECHANIC AVERAGE…
A: The data points in a graph indicate the information related to what is being depicted by the graph.
Q: Ketchup Corporation is currently trading at $35 per share. There are 8 million shares outstanding,…
A: When you invest money in the stock market than it is possible that you may get extra ordinary profit…
Q: You purchased a 15-year, 4.8 percent coupon bond that was priced at 102.594% of par TWO years ago.…
A: Price of bond is the present value of coupon payment and present value of par value of bond taken on…
Q: es Lohn Corporation is expected to pay the following dividends over the next four years: $12, $9,…
A: First we have to find the , dividends level off at a constant growth rate, and after that we will…
Q: Ay 3. Draft a corporate constitution for your family convenient store
A: A corporate constitution is a document that outlines the rules and regulations governing a…
Q: Mark and his partners have contracted to purchase the franchise rights, worth $123,000, to open and…
A: Future value is the value of the initial amount along with accumulated interest on the amount.
Q: Convertible securities can usually be sold with interest rates ____ other nonconvertible securities…
A: Convertible securities are securities which can be exchanged by predetermined number of common…
Q: Coco borrowed ₱100,000 and wishes to repay Kobe at the end of each month with payments of ₱3,000 for…
A: Loan amount (P) = 100,000 Monthly payment (C) = 3,000 Monthly interest rate (r) = 0.0075 (i.e. 0.09…
Q: Ay 2. What is the impact of a stock repurchase on a LO 4 14.2 14.3 company's debt ratio? Does this…
A: 1. Repurchase of stock, making payment to the investors decreases the number of shares in the market…
Q: 0,000 mortgage was amortized over 20 years by monthly repayments. The interest rate on the mortgage…
A: Loans are paid by the monthly payment and these are fixed payments and these carry the payment for…
Q: that the capital asset pricing model (CAPM) applies. The risk premium of a stock is 3 percent and…
A: Covariance is one of the most used statistical measures used in finance and it shows the…
Q: Q2(d). According to your research, the Market Capitalization Rate for this type of property should…
A: The value of the property is the capitalized value of future cash flows. It is computed by dividing…
Q: Find the depreciation for the indicated year using MACRS cost-recovery rates for the properties…
A: Depreciation is an appropriation of the cost of the fixed asset over its useful life. It is a…
Q: Should an increase in the volatility of a firm's stock returns be associated with an increase in the…
A: A Call Option is the option(right but not obligation) to purchase an underlying security at…
Q: initiates
A: 1) Holden Manufacturing has a capital structure of 60% equity and 40% debt. Which of these actions…
Q: Date 2022-02-05 2022-02-06 2022-02-07 2022-02-08 2022-02-09 O A. 0.09%. OB. 0.81%. $ $ $ $ $ O C.…
A: We have the daily adjusted closing prices of a stock over a few days. We need to calculate the…
Trending now
This is a popular solution!
Step by step
Solved in 3 steps
- Consider the following stock price and shares outstanding information. PWIyear 1: PWIYear 2: a. Compute the beginning and ending values for a price-weighted index and a market-value-weighted index. Assume a base value of 100 and Year 1 as the base period. Do not round intermediate calculations. Round answers to two decimal places. VWIyear 1: VWIYear 2: DECEMBER 31, Year 2 Shares DECEMBER 31, Year 1 Shares Outstanding Price Outstanding 107,000,000 $29 107,000,000 2,500,000 48 29,000,000 43 5,000,000² 29,000,000 % % Price $22 70 39 b. Compute the percentage change in the value of each index during the year. Do not round intermediate calculations. Round your answers to two decimal places. Percentage change in PWI: % Stock K Stock M Stock R aStock split two-for-one during the year. Percentage change in VWI: c. Compute the percentage change for an unweighted index assuming $1,000 is invested in each stock. Do not round intermediate calculations. Round your answer to two decimal places.Directions: Compute the total returns, the average of returns, and the standard deviation of the following stocks: 2) 1) EGRH Inc. DMP, Ltd. AVERAGE OF RETURNS (XI-X)² (x) YEAR AVERAGE OF RETS STOCK RETURN RICE YEA (x₁) Jan-2021 P8.30 Feb-2021 P8.60 Jan-2021 P0.088 Feb-2021 P0.090 Mar-2021 P0.097 Apr-2021 PO.189 May-2021 PO.164 Mar-2021 P9.14 Apr-2021 P13.30 May-2021 P13 Jun-2021 P0.495 Jun-2021 P 0 Jul-2021 PO.280 Jul-2021 6.94 Aug-2021 P0.455 Aug-202 P13.70 Sep-2021 P0.390 Sep-2 P14.88 Oct-2021 P0.375 0 21 P15.30 Nov-2021 PO.325 -2021 P14.30 Dec-2021 P0.330 Dec-2021 P15.52 SD (8) = 3) STOCK RETURN PRICE (x₁) GSM Inc. YEAR Jan-2021 P57.70 Feb-2021 P52.90 Mar-2021 P50.95 Apr-2021 P58.2 May-2021 P7 05 Jun-2021 34.75 Jul-2021 P85.00 Aug-20 P105.00 Sep-21 P114.00 O 2021 P101.00 N-2021 P100.40 Dec-2021 P113.80 SD (8) = STOCK RETURN CE (x₁) AVERAGE OF RETINS ²) (x₁-x)² SD (8) = ACEE, Inc. YEA Jan-2021 P156 Feb-2021 P20.80 Mar-2021 P22.50 Apr-2021 P18.90 May-2021 P17 Jun-2021 P76 Jul-2021…On a particular date, FedEx has a stock price of $88.24 and an EPS of $7.36. Its competitor, UPS, had an EPS of $0.30. What would be the expected price of UPS stock on this date, if estimated using the method of comparables? Question content area bottom Part 1 A.$5.40 B. $7.19 C.$8.00 D.$3.60
- Question 48 The S&P 500 Index returned: 5.1%, 6.9% , -7.3%, -8.1%, 7.2% Over the same period, BergAwesome Inc. had the following returns: 4.8%, 7.3 % , -6.2%, -11.7%, 8.6% Which of the following statements best represents BergAwesome? (%)? (recurring content question) BergAwesome is an appropriate candidate for one seeking a little above average risk. BergAwesome is an appropriate candidate for an investor willing to bear average risk. None of the choices are correct. BergAwesome is an appropriate candidate for an investor seeking high risk. O BergAwesome is an appropriate candidate for an investor with low tolerance for risk.The common stock of XMen Inc. had the following historic prices. Time 3/01/1999 3/01/2000 3/01/2001 3/01/2002 3/01/2003 3/01/2004 Price of X-Tech 50.00 47.00 76.00 80.00 85.00 90.00 A. What was your holding period return for the time period 3/1/1999 to 3/1/2004? B. What was your annual holding period yield (Annual HPY)? C. What was your arithmetic mean annual yield for the investment in XMen Industries. D. What was your geometric mean annual yield for the investment in XMen?Directions: Compute the total returns, the average of returns, and the standard deviation of the following stocks: 1) 2) EGRH Inc. MP, Ltd. STOCK RETURN AVERAGE OF YEA AVERAGE OF RETURNS (x) YEAR STOCK RETURN PRICE (x₁) PRICE RETU Jan-2021 Po Feb-2021 P8.6 Jan-2021 PO. Feb-2021 PO.090 Mar-2021 P0.097 Apr-2021 PO.189 May-2021 PO.164 Mar-2021 P9.14 Apr-2021 P13.30 May-2021 P13 Jun-2021 P60 Jul-2021 16.94 Jun-2021 P0.495 Jul-2021 PO.28 Aug-2021 PO Sep-2021 90 Aug-202 P13.70 Sep-2 P14.88 Oct-2021 0.375 Oct 21 P15.30 Nov-20 PO.325 N2021 P14.30 Dec-2 PO.330 ec-2021 P15.52 3) SD (8) GSM Inc. STOCK YEAR PRICE Jan-2021 P57.70 Feb-2021 P52.90 Mar-2021 P50.95 Apr-2021 P58.25 May-2021 P74.05 Jun-2021 P94.75 Jul-2021 P85.00 Aug-2021 P105.00 Sep-2021 P114.00 Oct-2021 | P101.00 Nov-2021 P100.40 Dec-2021 P113.80 SD (8) = RETURN (x₁) -x)² AVERAGE OF RETURNS (x-x)² (x) SD (8) = ACEE, Inc. YEAR STOCK RETURN PRICE (x₁) Jan-2021 P13.56 Feb-2021 P20.80 Mar-2021 P22.50 Apr-2021 P18.90 May-2021 P17.00…
- Directions: Compute the returns, average of returns and standard deviation of the following stocks and the PSEI. 1. 2. AGI SM Year Stock Return x x (x--x)² Year Stock Return x x (x-x)² Price Price 30/1/2014 27.100 30/1/2014 704.500 28/2/2014 30.000 28/2/2014 694.000 31/3/2014 28.500 31/3/2014 705.000 30/4/2014 31.150 30/4/2014 725.000 30/5/2014 29.650 30/5/2014 786.000 30/6/2014 29.100 30/6/2014 816.000 31/7/2014 26.350 31/7/2014 797.000 29/8/2014 24.600 29/8/2014 772.000 30/9/2014 26.000 30/9/2014 803.500 31/10/2014 25.300 31/10/2014 783.500 28/11/2014 24.800 28/11/2014 804.500 29/12/2014 22.550 29/12/2014 815.000 PSEI Year Stock Return x X (x-X)? 30/6/2014 6,844.31 Price 31/7/2014 6,864.82 30/1/2014 6,041.19 29/8/2014 7,050.89 3. 28/2/2014 6,424.99 30/9/2014 7,283.07 31/10/2014 7,215.73 31/3/2014 6,428.71 28/11/2014 7,294.38 30/4/2014 6,707.91 29/12/2014 7,230.57 30/5/2014 6,647.65Use the following information relating to a float-adjusted market-capitalization-weighted equity index Security % of Shares in the Market Float A B C Shares Outstanding 20,000 15,000 5.11% 1. 2. 6.22% 3. 7.11% 41% 37% 53% Price at the End of 2009 ($) 42 54 20,000 Assume that all dividend payments are made at the end of the year. The total return on the index is closest to: 27 Price at the End of 2010 ($) 38 51 35 Dividends per Share ($) 0.85 2.15 1.12Consider the following sample of annual holding period returns on Masco (a corporation) and the S&P500 Stock Index (includes dividends and capital gains). Assume that the Market Portfiolio is composed of individual US stocks only, so that the S&P 500 Stock Index is a good proxy of the Market Portfolio. Date r S&P500 1-Nov-07 1-Nov-06 1-Nov-05 1-Nov-04 3-Nov-03 1-Nov-02 1-Nov-01 1-Nov-00 1-Nov-99 2-Nov-98 3-Nov-97 1-Nov-96 1-Nov-95 1-Nov-94 1-Nov-93 2-Nov-92 1-Nov-91 1-Nov-90 1-Nov-89 1-Nov-88 2-Nov-87 -0.0749 0.0165 0.0352 0.0386 0.0071 0.0571 0.0752 -0.0801 0.0191 0.0591 0.0446 0.0734 0.0410 -0.0395 -0.0129 0.0303 -0.0439 0.0599 0.0165 -0.0189 -0.0853 r Masco -0.0756 0.0374 0.0444 0.0294 -0.0109 -0.0188 0.0626 0.0331 -0.1684 0.0242 0.0724 0.1641 0.0488 -0.0640 0.0748 0.0693 -0.1203 0.0675 0.0146 -0.0806 -0.1607 a) Use Excel to calculate Masco's beta given the data above. b) Use the data sample and your answer to b) to estimate the expected return on Masco stock according to the CAPM…
- A market-cap weighted index includes the below three stock, where the value at the beginning of the year was 100 point. What will be the value of the index at the end of the year a) 44.3 b) 110.6 c) 93.8Ma3. The S&P 500 Index returned: 5.1%, 6.9%, -7.3%, -8.1%, 7.2% Over the same period, BergAwesome Inc. had the following returns: 4.8%, 7.3%, -6.2%, -11.7%, 8.6% How much of the variability in BergAwesome is explained by the variability in the S&P 500 Index (R2)? (%)? (recurring content question)Question 7 Below is annual tock return data on ABC Corp and XYZ, Inc. Year ABC XYZ 2010 8% -3% 2011 20% 0% 2012 -8% 20% 2013 4% 8% v (a) What is the average return and standard deviation for each stock? (Round answers to 2 decimal places, e.g. 52.75.) ABC XYZ Average return Standard deviation (b) The parts of this question must be completed in order. This part will be available when you complete the part above.