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- Stock price S=$21 Exercise price K= $20 Interest rate r = 0.08 Maturity T= 180 days = 0.5 Standard deviation=0.5 1. What is the correct price of the put?Ex Post Market Observations Return 1 -5.7% 2 12.0% 3 10.1% 4 20.7% 5 17.9% The risk-free rate is expected to be 6 percent for the coming period, and the best guess of the market's expected return is its historical average. What is the best estimate of Security J's beta, assuming that CAPM is correct? O 1.40 1.25 O 1.55 O 1.70 Security J Return -10.6% 25.5% 15.2% 22.8% 26.3% 1.85Nikul
- CapmThe risk-free rate is 4.15 percent. What is the expected risk premium on this stock given the following information? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places.) Probability of Rate of Return if State State of the Economy State of Economy Вoom Occurs 0.35 16% Normal 14% 0.65Beta 0.53 Risk-free Rate 0.7% MRP 5.55% Given the data in the table, what is the stock's risk premium? Answer as a percent and use 2 decimal places.
- can you ansQuestion 4 The risk-free rate of return is 2.7 percent, the inflation rate is 3.1 percent, and the market risk premium is 6.9 percent.What is the expected rate of return on a stock with a beta of 1.08?Select one:A. 12.22 percentB. 11.47 percentC. 10.15 percentD. 10.92 percentExpected Return on the market HPR Beta Risk-free rate Stock ABC 15.68% 1.2 1% 6.68% What is the alpha for stock ABC? Answer as a percent. Show work.
- Assume that you are given the following historical returns for the Market and Security J. Also assume that the expected risk-free rate for the coming year is 4.0 percent, while the expected market risk premium is 15.0 percent. Given this information, determine the required rate of return for Security J for the coming year, using CAPM. Year 1 2 O21.20% 3 4 5 6 O22.34% O 23.49% O24.63% O24.10% Market 10.00% 12.00% 16.00% 14.00% 12.00% 10.00% Security J 12.00% 14.00% 18.00% 22.00% 18.00% 14.00%QUESTION 18 Suppose that the 1-year, 2-year, 3-year, and 4-year spot rates are observed as follows: r1=9.7%, r2=10.2%, r3=10.9%, r4-12.3%, What must be the expected return in year 4 under the liquidity preference theory if the liquidity premium is 0.49%? Oa. 18.63% Ob. 16.61% c. 16.12% Od. 18.14%Question 8 What is the value of a call given the Black-Scholes model and the following information? Stock price - $44, Exercise price $40, Time to expiration=.75, Risk-free rate-4.5%, Standard deviation = 25%, N(d1) 759395, and N(d2) - 687172. O $8.81 O $4.86 O $6.84 O $2.03 O $9.27