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Fill in the missing values in the table. (Round answers to 2 decimal places, e.g. 1.55. Do not leave any answer field blank. Enter O for amounts.) Security Stock A Stock B Stock C Market portfolio Treasury bills E[R] 0.21 0.21 0.16 0.16 0.11 ORI 0.24 0.02 0.04 0 P 1.00 0.50 B₁ 1.80 0.50
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- Economics Compute (F/A, %13,20) using the closed-form formula and call that X, Also approximate it; by applying linear interpolation between the values obtained from "compound interest factors" table for (F/A,%12,20) and (F/A,%15,20) and call that Y. What is X-y? Choose the closest value to your answer. A 11.3664 C 1.2358 D -1.2358 11.3664Refer to the graph below, what is the beta of portfolio X under CAPM? E(r) A 0.14 0.10 0.06 N Beta of portfolio X = place) M X o(r) (to the nearest 1 decimalQuestion 1Fill the parts in the above table that are shaded in yellow. You will notice that there are nineline items. Question 2 Using the data generated in the previous question (Question 1)a) Plot the Security Market Line b) Superimpose the CAPM’s required return on the SML c) Indicate which investments will plot on, above and below the SML?d) If an investment’s expected return (mean return) does not plot on the SML, what doesit show? Identify undervalued/overvalued investments from the graph
- Economics Compute (F/A,%13,20) using the closed-form formula and call that X Also approximate it; by applying linear interpolation between the values obtained from "compound interest factors" table for (F/A,%12,20) and (F/A,%15,20) and call that y. What is X- y? Choose the closest value to your answer. A 0 (B) 11.3664 c) -11.3664 D 1.2358 E) -1.2358CASE 3 (6 marks): The following graph shows the efficient frontier for the portfolio containing x, y and z securities EFFICIENT FRONTIER 0.00525 D 0.00475 В A 0.00425 W 0,00375 0.00325 0.00275 0.006 0.0065 0.007 0.0075 0.008 0.0085 op 3 а) Which combination of the portfolio is most efficient or the closest to optimal, A, B, C or D and why? Additionally, explain the difference between each of these portfolios. 3 b) If the star represents portfolio E, is it better than B? Explain why or why not. 3 c) If the triangle represents portfolio F, is it better than C? D? Explain why or why not. ERPPLEASE ANSWER ALL THE QUESTIONS Question 1 Fill the parts in the above table that are shaded in yellow. You will notice that there are nine line items. Question 2 Using the data generated in the previous question (Question 1);a) Plot the Security Market Line (SML) b) Superimpose the CAPM’s required return on the SML c) Indicate which investments will plot on, above and below the SML? d) If an investment’s expected return (mean return) does not plot on the SML, what does it show? Identify undervalued/overvalued investments from the graph Question 3 From the information generated in the previous two questions; a) Identify two investment alternatives that can be combined in a portfolio. Assume a 50-50 investment allocation in each investment alternative. b) Compute the expected return of the portfolio thus formed. c) Compute the portfolio’s beta. Is the portfolio aggressive or defensive?
- Calculate the expected value of the scenario. X₁ P(x₁) -$0.25 0.1 $0 0.5 $0.25 0.1 $0.50 0.3Future values. Fill in the future values for the following table, E, using one of the three methods below a. Use the future value formula, FV= PVx(1+r)". b. Use the TVM keys from a calculator. c. Use the TVM function in a spreadsheet. Present ValuO Inforest Rate Number o Poriods $ 256.00 4% 4. S(Round to the nearest cent.ВЫ Blat X 9 Sub x Sub x my. X 9 Que X Bb Bla X ezto.mheducation.com/ext/map/index.html?_con%3Dcon&external_browser%3D0&launchUrl=https%253A%252F% e 5.b i Saved Solve for the unknown interest rate in each of the following (Do not round intermediate calculations. Enter your answers as a percent rounded to 2 decimal places, e.g., 32.16.): Present Value Years Interest Rate Future Value 230 3 :% $ 269 350 17 972 38,000 18 163,663 37,261 20 300,405 %24
- Q11. n is the number of periods of an investment, PV is the starting value, FVn is the future value n periods ahead, and ^ means 'to the power of'. What is the correct formula for calculating return? Group of answer choices 1. (FVn/PV)^n - 1 2. (FVn/PV)^n 3. (PV/FVn)^n - 1 4. 1 - (FVn/PV)^nYou have the following information: t1 t2 t3 t4 TSLA Returns 0.05 -0.04 0.1 -0.01 Market Returns 0 -0.04 0.01 0.01 What is the Covariance of TSLA and the Market? Type your answer as decimal (i.e. 0.052 and not 5.2%). Round your answer to the nearest four decimals if needed.EBFINB00 Assessment 2 s.google.com/forms/d/e/1FAlpQLSc5SjbreWzCO_yZPB3S2KWa9rUU-y0gkfRTKB8PKub7CTYBJA/formResponse te... AAdaptive Math | Ad.. O New Tab 3. What is the present value of a security that will pay $15,000 in 15 years if securities of equal risk pay 15% annually ? * O a) $1843 b) $4787 c) $4066 d) $4728 e) None of the above 5 po 4. Alpha Co. has 5,000 shares outstanding and its net income was $25,000. What is its earnings per share for the year? a) 2.1 OIN A Chapter S Tme Classwork for BFL