A mutual fund manager how $20 mon portfolio with a beta of 1.7. The rok pre rote 2.5, and the market risk premium #The manager expekts to receive an additional $5 million, which the plans to invest in a number of stocks. Mer investing the additional funds, she wants the fund's required return to be 16%. What should be the average beta of the new stocks added to the portfolio? Negative value, any, should be indicated by a minus sign. Do not round intermediate calculations. Round your answer to one dedmal place is

Answers

Answer 1

The average beta of the new stocks added to the portfolio should be approximately 0.9.

In order to calculate the average beta of the new stocks that the mutual fund manager plans to add to the portfolio, we need to follow these steps:

1. Determine the initial portfolio value: $20 million
2. Determine the initial portfolio beta: 1.7
3. Determine the risk-free rate: 2.5% (typo corrected to "risk-free rate")
4. Determine the market risk premium: Not provided, but we can calculate it using the given information.
5. Determine the desired portfolio required return: 16%

Now, let's calculate the market risk premium using the initial portfolio beta, risk-free rate, and initial portfolio required return:
Initial Portfolio Required Return = Risk-Free Rate + (Initial Portfolio Beta * Market Risk Premium)

Using the given information:
16% = 2.5% + (1.7 * Market Risk Premium)

Solve for the Market Risk Premium:
Market Risk Premium = (16% - 2.5%)/1.7 ≈ 7.94%

Next, let's determine the total portfolio value after receiving the additional $5 million:
New Portfolio Value = Initial Portfolio Value + Additional Funds = $20 million + $5 million = $25 million

Now, we will calculate the average beta of the new stocks using the desired portfolio required return, risk-free rate, market risk premium, and new portfolio value:
Desired Portfolio Required Return = Risk-Free Rate + (Weighted Average Beta * Market Risk Premium)

16% = 2.5% + ((($20 million * 1.7) + ($5 million * Average Beta of New Stocks))/$25 million) * 7.94%

Solve for Average Beta of New Stocks:
Average Beta of New Stocks = ((16% - 2.5%)/7.94% * $25 million - ($20 million * 1.7))/$5 million ≈ 0.9

Thus, the average beta of the new stocks added to the portfolio should be approximately 0.9.

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Related Questions

Describe a situation in which in-kind income redistribution may
be preferable to a cash transfer. What are the drawbacks or
limitations of in-kind provision?
150 words maximum.

Answers

In-kind income redistribution may be preferable to cash transfer in situations where the government or a charitable organization wants to ensure that the resources provided are being used for specific purposes that are considered socially desirable.

For example, providing food stamps or vouchers to low-income families may be more effective in ensuring that they have access to healthy and nutritious food than providing cash transfers, which could be used for other purposes.

Another example where in-kind income redistribution may be preferable to cash transfer is in disaster relief efforts.

Providing physical items such as tents, blankets, and food supplies may be more immediately helpful in meeting the needs of disaster victims than providing cash transfers.

However, in-kind income redistribution has its drawbacks and limitations. For instance, it may be more expensive to provide physical goods rather than cash transfers, especially if the logistics of storage, transportation, and distribution are complex.

Additionally, in-kind provision may limit individual autonomy and choice, as recipients may not have control over the specific goods or services provided.

This can also result in waste and inefficiency, as some recipients may not need or want the provided goods, leading to surplus or unused resources.

Finally, in-kind income redistribution may create market distortions, affecting local economies and potentially discouraging private sector investment.

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Ringo Manufacturing is considering the purchase of a new machine for $50,000. The machine is expected to save the firm $15,000 (before tax) per year in operating costs over a 5 year period, and can be depreciated on a straight-line basis to a zero salvage value over its life. Alternatively, the firm can lease the machine for $8,000 per year for 5 years, with the first payment due in 1 year. The firm's tax rate is 20%, and its before tax cost of debt is 10%. The depreciation tax shield each year is:

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The depreciation tax shield each year is $2,000.

Define depreciation.

A depreciable asset's depreciation is a measurement of the wear and tear, consumption, or other loss of value that results from usage, the passage of time, or obsolescence due to advancements in technology and market trends.

Cost of machine = $50,000

Useful life of machine = 5 years

Calculation of annual depreciation using Straight line method would be as follows.

annual depreciation = (Cost of machine - Salvage Value of machine )/Useful life

annual depreciation = ($50,000 - $0)/5 years

Annual depreciation = $10,000

Calculation of annual tax shield on depreciation.

Annual tax shield = Annual depreciation × Tax rate

Annual tax shield = $10,000 × 20% = $2,000

Thus, the each year depreciation tax shield = $2,000

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a) Two key types of technologies used in the production cycleare PLS and CAD. What are they and how do they help the productioncycle achieve its overall objective?b) While assessing company ABC's p roduction cycle, the following issues are identified. . . (the internal control procedure(s) that ABC should have in place to prevent or detect the weakness) 1. A production order was initiated for a product that was already overstocked in the company’s warehouse. 2. A production employee stole items of work-in-process inventory.

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PLS (Production Line Support) and CAD (Computer-Aided Design) are two key types of technologies used in the production cycle.

PLS (Production Line Support): PLS refers to the use of various technologies, such as sensors, automation systems, and data analytics, to monitor and optimize the production process.

PLS helps in achieving the overall objective of the production cycle by improving efficiency, reducing downtime, and minimizing waste. For example, sensors can monitor the performance of production equipment in real-time, identifying potential issues before they cause production delays or defects.

Automation systems can streamline repetitive tasks, reducing human error and increasing productivity. Data analytics can provide insights into production data, allowing for data-driven decision-making and process optimization.

CAD (Computer-Aided Design): CAD refers to the use of specialized software to create and modify design models for products. CAD software allows for 3D modeling, simulation, and analysis of product designs, which can help in visualizing and optimizing the product before it goes into production.

CAD helps in achieving the overall objective of the production cycle by improving design accuracy, reducing prototyping costs, and speeding up the product development process. For example, CAD software enables designers to create and test product designs virtually, reducing the need for physical prototypes and associated costs.

It also allows for easy modification of designs based on feedback and requirements, leading to more accurate and optimized designs for production.

b) To prevent or detect the identified weaknesses in ABC's production cycle, the following internal control procedures can be implemented:

Production order initiation control: ABC should implement a control mechanism to verify the stock levels in the warehouse before initiating a production order.

This can be done through automated systems that monitor inventory levels and prevent production orders for overstocked items. For example, using barcode scanning or RFID technology to track inventory levels and automatically trigger alerts when overstock situations arise.

Work-in-process inventory control: ABC should implement controls to prevent theft of work-in-process inventory. This can include physical controls such as restricted access to production areas, CCTV surveillance, and regular inventory counts.

Additionally, ABC should have strict segregation of duties where production employees do not have access to inventory storage areas without proper authorization, and regular audits to detect any discrepancies between recorded inventory levels and physical counts.

Employee training and awareness: ABC should provide comprehensive training to employees on the importance of inventory control, the risks associated with theft, and the consequences of such actions. Regular reminders and awareness programs can help employees understand the importance of maintaining inventory accuracy and the potential consequences of theft or unauthorized access.

Documentation and record-keeping: ABC should maintain accurate and complete documentation and record-keeping related to production orders, inventory counts, and inventory movements. This can help in detecting any discrepancies or irregularities and provide evidence in case of any investigation or audit.

The system controls: ABC should implement strong access controls and authorization levels in their production and inventory management systems. This can include user authentication, role-based access, and regular reviews of user access rights to ensure that only authorized personnel have access to production orders and inventory systems.

By implementing these internal control procedures, ABC can prevent or detect weaknesses in their production cycle and ensure efficient and secure production operations.

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the musicians in big brother and the holding company referred to their music as

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The musicians in Big Brother and the Holding Company referred to their music as a fusion of psychedelic rock, blues, and improvisational jazz. Their sound was characterized by Janis Joplin's powerful and soulful vocals, accompanied by the band's distorted guitars, heavy drums, and dynamic basslines.

They drew influence from artists such as B.B. King, Otis Redding, and Aretha Franklin, as well as the emerging counterculture of the late 1960s.
The band's music was known for its raw energy and improvisational nature, often featuring extended solos and jam sessions. They sought to push the boundaries of traditional rock music, experimenting with unconventional song structures and incorporating elements of free jazz and avant-garde music.
Big Brother and the Holding Company's music was a reflection of the social and cultural upheaval of the era, and their live performances were renowned for their electrifying energy and rebellious spirit. Despite their short-lived success, their music continues to inspire and influence generations of musicians and fans.

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Psychedelic rock. Big Brother and the Holding Company was a rock band that emerged from the San Francisco music scene in the 1960s.

They are best known for their association with singer Janis Joplin, who joined the band in 1966. Their music was a fusion of rock, blues, and folk, with a heavy emphasis on improvisation and experimentation. The band's sound was often described as "psychedelic rock," a term used to describe music that was influenced by the psychedelic drug culture of the time. Psychedelic rock was characterized by its use of unconventional instruments, electronic effects, and abstract lyrics that often dealt with themes of drug use, spirituality, and social change.

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fredo loves watching dozwnton abbey on his local public tv station, but he never sends any money to support the station during its fund-raising drives.a. what name do economists have for people like fredo?b. how can the government solve the problem caused by people like fredo?c. can you think of ways the private market can solve this problem? how does the option of cable tv alter the situation?

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The economists called people like Fredo as "free riders", the government can impose their taxes on the public, and the private market can solve this problem by providing alternative means of accessing the desired content.

Here are the complete information about Fredo and public TV station funding.

a. Economists refer to people like Fredo as "free riders." Free riders are individuals who benefit from goods or services without contributing to their cost. In this case, Fredo enjoys watching Downton Abbey on his local public TV station without financially supporting it during its fund-raising drives.

b. The government can solve the problem caused by free riders like Fredo through various measures. One common solution is to impose taxes on the public, using the revenue to subsidize the provision of public goods or services, like public TV stations. This way, everyone contributes to the cost, and free riders are minimized.

c. The private market can solve this problem by providing alternative means of accessing the desired content. For instance, cable TV companies can offer packages that include channels featuring shows like Downton Abbey. In this case, the option of cable TV changes the situation by allowing viewers to pay for access to the content they enjoy, making it less likely for them to be free riders. Additionally, streaming services could offer the show as part of a paid subscription, further encouraging viewers to contribute to the cost of the content they consume.

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Trestian Brothers is expected to pay a $3.10 per share dividend at the end of the year (le, Du- $3.10) The dividend les expected to grow at a constant rate of 9% a war. The required rate of return on the stock, rs, 1 17%. What is the stock's current valise per share? Round your answer to the nearest cont $ Oo

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Your question is: What is the stock's current value per share for Trestian Brothers, given a $3.10 per share dividend at the end of the year, a constant growth rate of 9%, and a required rate of return of 17%?

To calculate the stock's current value per share, we will use the Dividend Discount Model (DDM):

Stock Value = D1 / (rs - g)

where:


D1 = Dividend in the next year (end of the year dividend * (1 + growth rate))


rs = Required rate of return (17%)


g = Constant growth rate (9%)

Step 1: Calculate D1


D1 = $3.10 * (1 + 0.09)


D1 = $3.10 * 1.09


D1 = $3.379

Step 2: Calculate the stock value


Stock Value = D1 / (rs - g)


Stock Value = $3.379 / (0.17 - 0.09)


Stock Value = $3.379 / 0.08


Stock Value = $42.2375

Round your answer to the nearest cent:


Stock Value ≈ $42.24

The stock's current value per share for Trestian Brothers is approximately $42.24.

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n intervention principle for working with a first nations client is _______.

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An intervention principle for working with a First Nations client is to ensure that cultural safety and humility are prioritized throughout the therapeutic process.

This means acknowledging and respecting the client's cultural background and incorporating it into the treatment plan. It also involves recognizing the impact of colonization, intergenerational trauma, and systemic oppression on the client's mental health and wellbeing.

The principle emphasizes building a collaborative and trusting relationship with the client, empowering them to take an active role in their healing journey. Overall, the goal is to provide culturally appropriate and sensitive care that promotes the client's physical, emotional, and spiritual health.

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a business with a strong customer focus . select one: a. lacks a long-term perspective. b. realizes higher profits over the short-term. c. attracts shareholder that want high short-term earnings. d. managers are judged on the last quarter's results, rather than on efforts to ensure the long-run survival of the business. e. is in sync with customers' needs and therefore can ignore competitors' strategies.

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e - is in sync with customers' needs and therefore can ignore competitors' strategies.

A business with a strong customer focus must put customers first in order to remain competitive and successful. This means being aware of customer needs and expectations, and adapting to changing market trends.

Such a business should focus on customer satisfaction, providing quality products and services, and developing a customer-centric culture. It should also strive to build relationships with customers and establish a long-term relationship with them.

By staying in tune with customers' needs and preferences, such a business can ignore competitors' strategies and focus on providing the best experience for its customers. This helps ensure long-term survival and success.

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how
do ethnic rules affect ethnic party positions?

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Ethnic rules are a set of laws, regulations or customs governing a particular ethnic group. These rules can affect the positions adopted by ethnic political parties in a number of ways.

First, they may be used to define the boundaries of a particular ethnic group, thereby creating a sense of political unity and distinctiveness from other groups. This can lead to an emphasis on the protection of rights and interests exclusive to that ethnic group.

Second, ethnic rules can also form the basis of political appeals to a particular ethnic group. This could include appeals to a shared history, language, culture or religious practices. This can be used to form a narrative about the uniqueness of the group and its need for protection from outside forces.

Finally, ethnic rules can also be used to create a sense of solidarity and loyalty to the party within an ethnic group. This could include the use of symbols, slogans and rituals associated with the group.

Overall, ethnic rules can have a significant impact on the positions taken by ethnic political parties. They can be used to create a sense of unity and distinctiveness, to form political appeals, and to generate loyalty and solidarity within the group.

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one thousand dollars is borrowed for one year at an interest rate of % per month. if the same sum of money could be borrowed for the same period at an interest rate of 6% per year, how much could be saved in interest charges?

Answers

The amount saved depends on the value of the monthly interest rate, and if it is greater than 0.5%, then switching to the loan with the annual interest rate would result in savings equal to the difference in interest charges.

To compare the interest charges of two loans with different interest rates and time periods, we need to calculate the total amount of interest paid for each loan. Let's start by calculating the interest charges for the loan with the monthly interest rate.

If the loan amount is $1000 and the interest rate is x% per month, then the interest charged each month would be (1000 * x)/100. The total interest charged over one year would be the sum of the monthly interest charges, which is:

[tex]\sum_{i=1}^{n} \frac{1000x}{100} = \frac{1000x}{100} + \frac{1000x}{100} + \cdots + \frac{1000x}{100} = nx \times 10[/tex] (12 times)

Simplifying this expression, we get:

(1000 × x × 12)/100

Which can be further simplified to:

120x

Now, let's calculate the interest charges for the loan with the 6% per year interest rate. If the loan amount is $1000 and the interest rate is 6% per year, then the total interest charged over one year would be:

(1000 × 6)/100

Which simplifies to:

60

To calculate the amount saved in interest charges, we need to subtract the interest charged for the 6% per year loan from the interest charged for the monthly interest rate loan. That is:

120x - 60

To find the value of x that makes this expression equal to zero, we can set it equal to zero and solve for x:

120x - 60 = 0

120x = 60

x = 0.5

Therefore, if the monthly interest rate is 0.5%, then the interest charged for the monthly interest rate loan and the 6% per year loan would be the same. If the monthly interest rate is higher than 0.5%, then the interest charged for the monthly interest rate loan would be higher than the interest charged for the 6% per year loan, and vice versa.

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Shares in Growth Corporation are selling for $50 per share. There are currently 9 million shares outstanding. The stock has a 3 - for - 1 stock split.
How many shares will be outstanding after the split? Please state your answer in millions and rounded to 2 decimal places.
Outstanding shares =
What will be the price per share after the split? Enter your answer rounded to two decimal places.
Price per share =

Answers

The new outstanding shares will be 27 million shares, and the new price per share will be $16.67.

After the 3-for-1 stock split, the number of outstanding shares will increase by a factor of 3. Therefore, the new number of outstanding shares will be:

Outstanding shares = 9 million x 3 = 27 million shares

To determine the price per share after the split, we can use the following formula:

Price per share = Previous price per share / Split ratio

In this case, the previous price per share was $50, and the split ratio is 3-for-1. Consequently, the new share price will be:

Price per share = $50 / 3 = $16.67

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There will be 27 million additional shares outstanding at the increased price of $16.67 per share.

The number of shares in circulation will rise by a factor of 3 following the stock split (3-for-1). Consequently, the new total of outstanding shares will be:

9,000,000 x 3

= 27,000,000 shares of outstanding stock

The following formula may be used to estimate the price per share following the split:

The split ratio in this scenario is 3-for-1, with the prior share price being $50. The new share price will thus be:

Price per share = Previous price per share / Split ratio

Price per share = $50 / 3 = $16.67

So, There will be 27 million additional shares outstanding at the increased price of $16.67 per share.

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when nike states that by 2020 it plans a 10% reduction in the average environmental footprint of its shoes, it is stating a(n):

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When Nike states that it plans a 10% reduction in the average environmental footprint of its shoes by 2020, it is stating a sustainability goal or target.

A sustainability goal is a specific, measurable objective that a company sets for itself to achieve in order to reduce its environmental impact and operate in a more sustainable way. In this case, Nike has set a goal of reducing the environmental footprint of its shoes, which refers to the total environmental impact of a product over its entire life cycle, from the sourcing of materials to manufacturing, transportation, use, and disposal.

By setting a sustainability goal, Nike is signaling its commitment to sustainability and taking concrete steps to reduce its environmental impact. This can help the company improve its reputation with consumers, attract socially responsible investors, and meet the expectations of stakeholders who are increasingly concerned about the impact of business on the environment.

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true or false: gaap require management to select an accelerated depreciation method if the long-lived asset produces more revenue in its early years than in its later years.

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False. GAAP (Generally Accepted Accounting Principles) requires management to select a depreciation method that best reflects the pattern in which the asset's economic benefits are expected to be consumed or used up over its useful life.

GAAP is a collection of a common set of accounting rules, requirements, and practices issued by the Financial Accounting Standards Board (FASB) and the Governmental Accounting Standards Board (GASB). the classifications, assumptions, and procedures used in accounting in industries across the US are standardized by  GAAP.

The four basic principles of GAAP are objectivity, materiality, consistency, and prudence. A collection of rules which are commonly followed in accounting and which are standards for financial reporting consists in GAAP.

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A man lends 6,000 for four years at 6.05 simple interest. At the end of this period, he invests the full sum at 5.01% compounded annually for a period of 12 years. How much money will he have at the end of 16 years?

Answers

The man will have $13,391.84 at the end of 16 years.

To solve this problem, we first need to calculate the simple interest earned on the initial loan.

Using the formula I = PRT (interest = principal x rate x time), we get:

Simple interest for 4 years = $6000 x 6.05% x 4 = $1452

So the man earns $1,452 in simple interest over four years. Adding this to the initial loan amount, we get:

$6,000 + $1,452 = $7,452

This is the amount he invests at 5.01% compounded annually for 12 years. Using the formula A = P(1 + r/n)^(nt) (where A is the final amount, P is the principal, r is the annual interest rate, n is the number of times compounded per year, and t is the number of years), we get:

A = $7,452(1 + 0.0501/1)^(1*12) = $13,391.84

So the man will have $13,391.84 at the end of 16 years.

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true or false drinking stimulants like coffee is a good strategy to reduce your bac.

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False. Drinking stimulants like coffee is not a good strategy to reduce your BAC (Blood Alcohol Concentration).

BAC is a measure of the amount of alcohol in your bloodstream, and it is influenced by various factors such as the amount and type of alcohol consumed, body weight, gender, and metabolism. Drinking stimulants like coffee may make you feel more alert and awake, but it does not lower your BAC or speed up the metabolism of alcohol in your system. In fact, combining alcohol with stimulants can be dangerous as it may mask the effects of alcohol and lead to overconsumption, resulting in impaired judgment, poor decision-making, and a higher risk of accidents and injuries.
The only way to reduce your BAC is to wait for your body to metabolize the alcohol naturally, which takes time. The liver can metabolize about one standard drink per hour, and there is no quick fix or magic cure for alcohol intoxication.
Therefore, it is essential to drink responsibly and in moderation to avoid the negative effects of alcohol on your health and well-being. Always have a plan to get home safely and avoid driving under the influence of alcohol.

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False. Drinking stimulants like coffee does not reduce your blood alcohol concentration (BAC). Only time can decrease your BAC as your body metabolizes alcohol.

Drinking stimulants like coffee may help you feel more alert or awake, but they do not have any effect on the amount of alcohol in your bloodstream. Only time can decrease your BAC as your liver metabolizes alcohol. Drinking coffee or other stimulants may give you a false sense of sobriety, leading you to believe that you are able to drive or perform other tasks safely, when in fact your BAC is still high. It is important to wait until your body has fully metabolized the alcohol before driving or engaging in any activities that require concentration and coordination.

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western company is preparing a cash budget for june. the company has $10,500 in cash at the beginning of june and anticipates $31,500 in cash receipts and $37,500 in cash payments during june. western company has an agreement with its bank to maintain a minimum cash balance of $10,000. as of may 31, the company has no loans outstanding. to maintain the $10,000 required balance, during june the company must: g

Answers

To maintain a minimum cash balance of $10,000, Western Company can either:

Reduce its cash payments during June to stay above the $10,000 minimum balance requirement.Borrow money to increase its cash balance.

How to maintain a minimum cash balance of $10,000?

Western Company needs to ensure that its ending cash balance at the end of June is not less than $10,000.

Starting cash balance (June 1): $10,500

Add: Cash receipts during June: $31,500

Total cash available: $42,000

Subtract: Cash payments during June: $37,500

Ending cash balance before maintaining minimum balance: $4,500

Since the ending cash balance before maintaining the minimum balance is less than $10,000, Western Company needs to take action to ensure it meets the agreement with its bank.

To maintain a minimum cash balance of $10,000, Western Company can either:

Reduce its cash payments during June to stay above the $10,000 minimum balance requirement.Borrow money to increase its cash balance.

If Western Company decides to reduce its cash payments, it would need to reduce its payments by at least $5,500 ($10,000 minimum balance requirement - $4,500 ending cash balance before maintaining minimum balance).

If Western Company decides to borrow money, it would need to borrow at least $5,500 to bring its ending cash balance up to the $10,000 minimum balance requirement. However, this option would come with interest charges and other fees, so it may not be the most cost-effective solution.

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Suppose you are a British venture capitalist holding a major stake in an e-commerce start-up in Silicon Valley. As a British resident, you are concerned with the pound value of your U.S. equity position. Assume that if the American economy booms in the future, your equity stake will be worth $1,000,000, and the exchange rate will be $1.40/pound. If the American economy experiences a recession, on the other hand, your American equity stake will be worth $500,000, and the exchange rate will be $1.60/pound. You assess that the American economy will experience a boom with a 70 percent probability and a recession with a 30 percent probability. a. Estimate your exposure to the exchange risk. b. Compute the variance of the pound value of your American equity position that is attributable to the exchange rate uncertainty. c. How would you hedge this exposure? If you hedge, what is the variance of the pound value of the hedged position?

Answers

We have that, based on, a UK VC investor with a major stake in a Silicon Valley e-commerce company, we get the following:

a. Exchange rate of $1.60/pound

b. Variance £40,137,240.

c. Effectively reduces variance compared to the unhedged position.

As a British venture capitalist, he worries about the sterling value of his US equity position in a Silicon Valley e-commerce start-up. Here is an analysis of your exposure to currency risk:

a. Exposure to exchange risk:

In a boom scenario, your shareholding will be worth $1,000,000 at an exchange rate of $1.40/pound. The value of the pound would be £714,286 (1,000,000/1.40).

In a recession scenario, your shareholding will be worth $500,000 at an exchange rate of $1.60/pound. The value of the pound would be £312,500 (500,000/1.60).

b. Variation in the value of the pound due to the uncertainty of the exchange rate:

Expected value of the pound = (0.7 * 714,286) + (0.3 * 312,500) = £577,143.

Variance = (0.7 * (714,286 - 577,143)^2) + (0.3 * (312,500 - 577,143)^2) = £40,137,240.

C. Coverage of the exhibition:

To hedge this exposure, you can use financial instruments such as futures, options, or currency swaps. The exact method depends on your risk tolerance, investment horizon, and market conditions. The variation in the pound value of the hedged position will depend on the specific hedging strategy implemented. By hedging, you reduce the impact of exchange rate fluctuations, effectively reducing variance compared to the unhedged position.

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Rosas, Inc will not pay a dividend for two years. Three years from today, the company will pay out a dividend of $3.30 (i.e., D3 = 3.30). After that, the dividend will grow at 6% per year forever. If the required rate of return on Rosas' stock is 14%, the stock's current price (i.e., Po) is $

Answers

The stock's current price is$19.30. The current price of Rosas' stock is determined by the dividend discount model (DDM), which models the stock price as the sum of all future dividends discounted back to the present.

This model assumes that the current dividend is equal to zero due to the fact that Rosas is not paying a dividend for the next two years. Therefore, the current price of Rosas' stock is equal to the present value of the future dividends, discounted at the required rate of return.

Specifically, the current price is equal to the present value of the dividend at the end of the third year (D3 = 3.30) discounted back for three years at the required rate of return (14%). This yields a current stock price of $19.30. In other words, investors are willing to pay $19.30 today in anticipation of receiving a dividend of $3.30 in three years and then a growing dividend at 6% per year thereafter.

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Jill got a divorce after 27 years of marriage and has not remarried. She had not pursued employment to raise her kids. She will turn the normal retirement age. Will she be entitled to any Social Security as she hasn't worked? She is not entitled to Social Security benefits because she didn't pay into the program. She is entitled to the lowest benefit rate. She is entitled to what her ex-husband receives, She is entitled to 50 percent of her ex-husband's Social Security benefits.

Answers

Jill, who got a divorce after 27 years of marriage and has not remarried, may still be entitled to Social Security benefits even though she hasn't worked. While she may not be entitled to benefits based on her own work history because she did not pay into the program, she is entitled to the lowest benefit rate.

Additionally, she may be entitled to benefits based on her ex-husband's work history. Specifically, she is entitled to 50 percent of her ex-husband's Social Security benefits. Therefore, she should look into filing for Social Security benefits based on her ex-husband's work history.

If you are 62 years of age or older, or if you have enough work credits and are blind or disabled, you may be eligible to receive Social Security payments based off your earnings history.

Family members who are entitled to benefits based on your employment history do not require labour credits. Several criteria, most importantly the date at which you apply for benefits, affect how much you are eligible to.

Social security is the safety net that a society offers to individuals and families to ensure that they have healthcare at their disposal and to assure financial stability, particularly in circumstances of old age, employment, illness, invalidity, work injuries, maternity, or the death of a primary earner.

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the sale of a $292,500 home gave the listing broker $10,237.50. the selling broker received the same amount of commission. what was the rate of the commission charged?

Answers

The rate of commission charged is 7% when the total Commission is $20,475 and Sale Price is $292,500.

To find the Rate of the commission we have to find the values of the Commission percentage and Sale price.

Given data:

Sale Price = $292,500

Listing broker = $10,237.50

from the given data

Selling broker = listing broker = $10,237.50

Then the total commission charged = selling broker + listing broker

= $10,237.50 × 2

= $20,475

To find the rate of commission charged, we can use the formula:

Commission = (Rate of commission × Sale Price) ÷ 100

Rate of commission = Commission × 100 ÷ Sale Price

= $20,475 / $292,500

= 0.07 × 100

= 7%

Therefore, the rate of commission charged is 7%.

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Crawford Inc., a litter recycling company, uses a residual dividend policy. A debt-equity ratio of 2.1 is considered optimal. Earnings for the period just ended were $2,500, and a dividend of $640 was declared.
a) How much in new debt was borrowed?
b) What were total capital outlays?

Answers

$8,195.25 is new debt was borrowed. The total capital outlays were $12,104.07.

a) To determine how much in new debt was borrowed, we first need to calculate the equity portion of the capital structure. Since the debt-equity ratio is 2.1, this means that the equity portion is 1/2.1 = 0.476 of the total capital structure.

Retained earnings for the period were $2,500 and a dividend of $640 was declared, so the amount of earnings that were retained is:

$2,500 - $640 = $1,860

Since the residual dividend policy is being used, this means that all of the earnings that were retained must have been used to finance new investments. Therefore, the equity portion of the new investments is:

Equity portion = Retained earnings / Total new investments

0.476 = $1,860 / Total new investments

Total new investments = $1,860 / 0.476 = $3,908.82

The total capital outlays would be equal to the total new investments plus the amount of new debt borrowed. Let's assume that the new debt is denoted by D. Then we can write:

Total capital outlays = Total new investments + D

But we still need to determine D. We know that the debt-equity ratio is 2.1, so this means that the debt portion of the capital structure is 2.1 times the equity portion. Therefore:

Debt portion = 2.1 × Equity portion

Debt portion = 2.1 × 0.476 = 1.00056

This means that the debt-to-capital ratio is:

Debt-to-capital ratio = Debt portion / (Debt portion + Equity portion)

Debt-to-capital ratio = 1.00056 / (1.00056 + 0.476) = 0.677

We can now use this debt-to-capital ratio to solve for the amount of new debt borrowed:

Debt-to-capital ratio = D / (Total new investments + D)

0.677 = D / ($3,908.82 + D)

0.677($3,908.82 + D) = D

$2,646.96 + 0.677D = D

0.323D = $2,646.96

D = $8,195.25

b) The total capital outlays would be equal to the total new investments plus the amount of new debt borrowed, so we have:

Total capital outlays = Total new investments + D

Total capital outlays = $3,908.82 + $8,195.25

Total capital outlays = $12,104.07

Therefore, the total capital outlays were $12,104.07.

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Question 5 A firm has just paid (the moment before valuation, a dividend of 83% and is expected to exhibit a growth rate of 15% for five years, at the end of the fifth year its growth was to decline linearly for four years to reach the steady-state 5% growth rate. At the end of the ninth year, the payout ratio will increase from its present 30% to 50%. If the appropriate discount rate is 12%, what is the value of the stock? A) 32.04 B 33.04 34.04 D) 35.04 E) 36.04

Answers

The value of the stock if the appropriate discount rate is 12% is 36.04 that is option E.

A stock, usually referred to as equity, is a type of investment that denotes ownership in a portion of the issuing company. The "shares" that make up a unit of stock entitle the owner to a piece of the corporation's assets and income proportional to the number of shares they possess.

Most individual investors' portfolios are built on stocks, which are mostly bought and sold on stock exchanges. Government standards designed to shield investors from dishonest practises must be followed during stock trading.

Based on the proportion of shares an investor holds to the total number of outstanding shares, a shareholder is regarded as an owner of the issuing firm. If a corporation has 1,000 outstanding shares of stock and one shareholder has 100 of those shares, that shareholder would possess and be entitled to 10% of the company's assets and profits.

At the end of ninth year payout ratio will increase to 50%.

Dividend = (1.70/.30) x 0.50

= 2.833

Terminal value = 2.83 / (0.12-0.25) = 29.79 = 30

Total value = 6.96 + 30 = 36.75

which is nearest to the answer in the question so, option E, 36.04.

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The current spot exchange rate between the Japanese yen and the Canadian dollar is 105/$. The yen is expected to appreciate by 5% against the dollar over the next six months. What do you expect the spot exchange rate between the yen and the dollar to be six months from now? Multiple Choice A. x94.50/$ B. x99.75/$ C. x110.25/$ D. x115.50/$

Answers

The expected spot exchange rate between the yen and the dollar six months from now is 94.50/$.(A)

Currently, the spot exchange rate is 105 yen per Canadian dollar. The yen is expected to appreciate by 5% against the dollar over the next six months. To find the new exchange rate, we can multiply the current rate by (1 - the appreciation rate).

1. Convert the appreciation rate to a decimal: 5% = 0.05
2. Subtract the appreciation rate from 1: 1 - 0.05 = 0.95
3. Multiply the current exchange rate by the adjusted rate: 105 * 0.95 = 99.75 yen per dollar
4. Since the yen is expected to appreciate, the number of yen per dollar will decrease. So, divide 1 by the new exchange rate: 1 / 99.75 ≈ 0.01003
5. Convert the result to yen per dollar: 0.01003 * 100 = 94.50 yen per dollar

Hence, the expected spot exchange rate after six months is 94.50 yen per dollar.(A)

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If the production function is Q = 30 + 42L + 45K, what’s the
most you can produce with 0 workers (L) and 6 units of capital (K)?
Enter as a value.

Answers

The most you can produce with 0 workers and 6 units of capital is 300.

A production function is an economic concept that describes the relationship between inputs and outputs in the production of goods and services. It shows how much output can be produced with a given set of inputs.

It helps to explain how an economy can grow and how factors of production can be used efficiently to increase the level of output. It is also used in business management to analyze production processes and to determine the most effective use of resources.

To find the most you can produce with 0 workers (L) and 6 units of capital (K) using the production function Q = 30 + 42L + 45K, follow these steps:

Substitute the given values of L and K into the production function:

[tex]Q = 30 + 42(0) + 45(6)Q = 30 + 0 + 270[/tex]

So, the most you can produce with 0 workers and 6 units of capital is Q = 300.

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What do coverage ratios demonstrate? Multiple Choice A. How a firm is expected to handle current asset balances. B. Debt management of the firm and ability to meet financial obligations.
C. Profit margin of the firm.
D. The return on assets of the firm.

Answers

Coverage ratios demonstrate option  Debt management of the firm and ability to meet financial obligations.The correct option is (b).These ratios are important financial metrics that help investors and analysts assess a company's ability to meet its debt obligations using its operating income, cash flows, or equity.


Coverage ratios are valuable tools for evaluating the financial health of a company, as they help to determine the firm's capacity to pay off its debts and interest expenses. Some common examples of coverage ratios include the interest coverage ratio, the debt service coverage ratio, and the equity coverage ratio. By analyzing these ratios, stakeholders can gain insights into the company's overall debt management and its ability to fulfill its financial responsibilities.


In summary, coverage ratios are crucial indicators that demonstrate the debt management of a firm and its ability to meet financial obligations. They provide valuable insights to investors and analysts by measuring the company's capacity to pay off its debts and interest expenses using different financial sources, such as operating income, cash flows, or equity.

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Bronson Building Inc is considering a possible investment project, consisting of constructing an office building and then renting it out for use to various local businesses. The initial cost of acquiring the land and constructing the building (first cost) is $18,000,000. The building is expected to be sold for $8,000,000 in 18 years, at the end of the last year of the project. Annual revenue from collecting rents is expected to be $5,000,000, while annual maintenance and operating expenses are projected to equal $ 2, 000,000. Using MARR of 11%, compute the present worth of the project. Note the present worth is negative you must include the negative sign with your answer.

Answers

The present worth of the project for Bronson Building Inc is $6,389,137.


In order to calculate the present worth, follow these steps:

1. The given information is:

Initial cost (first cost) = $18,000,000

Annual revenue = $5,000,000

Annual expenses = $2,000,000

Net annual cash flow = Annual revenue - Annual expenses = $5,000,000 - $2,000,000 = $3,000,000

MARR = 11%

Project duration = 18 years

Sale price at the end of the project = $8,000,000

2. To calculate the present worth, we first need to find the present value of the net annual cash flows using the MARR as the discount rate. Then, we will add the present value of the sale price and subtract the initial cost.

Present value of net annual cash flows (PV_ACF) = Net annual cash flow * [(1 - (1 + MARR)^(-duration)) / MARR]

PV_ACF = $3,000,000 * [(1 - (1 + 0.11)^(-18)) / 0.11] = $3,000,000 * 7.696 = $23,088,000

3. Find the present value of the sale price at the end of the project.

Present value of sale price (PV_SP) = Sale price / (1 + MARR)^duration

PV_SP = $8,000,000 / (1 + 0.11)^18 = $8,000,000 / 6.146 = $1,301,137

4. Calculate the present worth of the project.

Present worth = PV_ACF + PV_SP - Initial cost

Present worth = $23,088,000 + $1,301,137 - $18,000,000 = $6,389,137

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What monthly payment is required to pay or a 550.000 loan in seven years if the interest on the compounded De not round intermediate calcune around your newer 2 decimale) a. Arally b. Setan ally Quarterly d. Monthly

Answers

The monthly payment required to pay off a $550,000 loan in seven years depends on the interest rate and the compounding frequency.

I will explain the calculation using these compounding frequencies: a) Annually, b) Semi-annually, c) Quarterly, and d) Monthly.

To find the monthly payment, you need to use the loan payment formula:

P = L[r(1 + r)ⁿ]/[((1 + r)ⁿ) - 1]

Where:
P = monthly payment
L = loan amount ($550,000)
r = interest rate per month
n = total number of payments (7 years * 12 months = 84)

First, find the effective annual rate (EAR) based on the given nominal rate (i) and compounding frequency:

EAR = (1 + i/n)ⁿ - 1

Next, convert the EAR to a monthly rate (r):

r = (1 + EAR)¹/¹² - 1

Now, plug in the values for L, r, and n into the loan payment formula to find the monthly payment for each compounding frequency. Make sure to calculate the interest rate (r) for each frequency before calculating the monthly payment (P).

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You have just been offered a contract worth $1.13 million per year for 7 years. However, to take the contract, you will need to purchase some new equipment. Your discount rate for this project is 12.4%. You are still negotiating the purchase price of the equipment. What is the most you can pay for the equipment and still have a positive NPV? GUIDE The most you can pay for the equipment and achieve the 124% annual return is $ million (Round to two decimal places.)

Answers

To determine the most you can pay for the equipment and still have a positive NPV, you need to consider the present value of the contract and your discount rate of 12.4%.

Calculate the present value of the contract. PV = CF / (1 + r)^n, where PV is the present value, CF is the cash flow, r is the discount rate, and n is the number of years. PV = ($1,130,000) / (1 + 0.124)^7

Calculate the total present value of the 7-year contract. Total PV = PV1 + PV2 + ... + PV7. Find the maximum amount you can pay for the equipment to achieve a positive NPV. Maximum equipment cost = Total PV - Equipment cost > 0

By following these steps, you can find the most you can pay for the equipment and achieve a 12.4% annual return is $3.51 million (rounded to two decimal places).

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how would you explain the current inflation and issues we had
during COVID with people hoarding toilet paper? What are your
thoughts on price gauging now that you have studied microeconomic
markets fr

Answers

The current inflation can be attributed to several factors, such as supply chain disruptions, increased demand due to pent-up consumer spending, and government stimulus spending.

During COVID, people hoarded toilet paper due to panic buying and fear of shortages. Price gouging occurs when sellers raise prices excessively in response to increased demand, which is unethical and can harm consumers.

As a result, governments often implement price gouging laws to protect consumers from unfair pricing practices.

From a microeconomic perspective, price gouging can disrupt market equilibrium and lead to inefficient resource allocation. Overall, it is important to strike a balance between supply and demand and ensure fair pricing practices to maintain a healthy market economy.

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Several variables, including supply chain disruptions, higher demand brought on by stalled consumer spending, and government stimulus expenditure, are to blame for the present inflation.

People stocked up on toilet paper during COVID out of panic purchasing and concern for shortages. It is unethical and potentially harmful to customers when vendors raise prices excessively in response to rising demand. As a result, governments frequently enact anti-price-gouging legislation to safeguard consumers from deceptive business tactics.

Price gouging can, from a microeconomic standpoint, upset the equilibrium of the market and result in an ineffective distribution of resources. In order to sustain a strong market economy, it is crucial to achieve a balance between supply and demand and to guarantee fair pricing procedures.

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indicate whether the following are "deductible" or "nondeductible" as medical expenses for tax purposes.a. transportation for medical careb. medical and hospital insurance premiumsc. nonprescription drugsd. diaper service, maternity clothese. eyeglasses (including contact lenses)f. hearing aids

Answers

Medical expenses for tax purposes are A. Transportation for medical care: Deductible, B. Medical and hospital insurance premiums: Deductible, C. Nonprescription drugs: Nondeductible, D. Diaper service, maternity clothes: Nondeductible, E. Eyeglasses (including contact lenses): Deductible, and F. Hearing aids: Deductible

Here's a brief overview of whether the listed items are deductible or nondeductible:

a. Transportation for medical care: Deductible - Transportation costs related to medical care, such as bus fares, parking fees, and mileage, can be deducted as a medical expense.

b. Medical and hospital insurance premiums: Deductible - Premiums for medical and hospital insurance are considered deductible expenses, as long as they are not reimbursed or paid by an employer.

c. Nonprescription drugs: Nondeductible - Over-the-counter drugs, vitamins, and supplements are generally not considered deductible medical expenses.

d. Diaper service, maternity clothes: Nondeductible - Diaper services and maternity clothes are not considered medical expenses and therefore are not deductible.

e. Eyeglasses (including contact lenses): Deductible - Eyeglasses and contact lenses prescribed by a medical professional for vision correction are considered deductible medical expenses.

f. Hearing aids: Deductible - Hearing aids, including batteries and maintenance costs, are deductible medical expenses if prescribed by a medical professional.

Remember, to claim these deductions, you must itemize your deductions on your tax return and your total medical expenses must exceed a certain percentage of your adjusted gross income. Always consult a tax professional for personalized advice and guidance.

The question was incomplete, Find the full content below:

indicate whether the following are "deductible" or "nondeductible" as medical expenses for tax purposes.

a. transportation for medical care

b. medical and hospital insurance premiums

c. nonprescription drugs

d. diaper service, maternity clothes

e. eyeglasses (including contact lenses)

f. hearing aids

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