Stock A has an expected return of 20%, and stock B has an expected return of 4%. However, the risk of stock A as measured by its variance is 3 times that of stock B. If the two stocks are combined equ
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Your ARPA has been tracking a target and has generated the targets course and speed.The radar did not receive a target echo on its last two scans due to the weather.What should you expect under these circumstances().
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An example of an anchor which has a stock is a().
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A customer has a Stock Watch application that publishes stock recommendations to different customers and programs. The stock recommendation message should be processed by only one of the JMS Servers in the cluster. Which JMS model should be used?()
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An example of a modern anchor which has a stock is a(n)().
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The common stock of Neal’s Metal Works sellsfor $ 32.89 a share. The company recently paid their annual dividend of $1.80per share and expects to increase this dividend by 2.5 percent annually. Whatis the rate of return on thisstock?
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Which of the following options for reducing an expected labor surplus has the benefit of being a relatively fast solution, but the disadvantage of being high in human suffering?
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While reading an example, your reader expects you to provide specific details and particular instances after a general statement.
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The risk-free rate of returnis 4.5 percent and the market risk premium is 8 percent. What is the expected return for a stock with a beta of 1.32?
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Beckham Company has the following information available:Selling price per unit $100Variable cost per unit $55Fixed costs per year $400,000Expected sales per year 20,000 unitsWhat is the expected operating income for a year?
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(I) A share of common stock in a firm represents an ownership interest in that firm. (II) A share of preferred stock is as much like a bond as it is like common stock.
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The preferred stockof Casco has a 6.25 percent dividend yield. The stock is currently priced at$59.30 per share. What is the amount of the annual dividend?
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When a firm issues stock for the first time in an initial public offering, it is difficult for an investment bank to determine what the correct price should be.
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(I) Preferred stockholders hold a claim on assets that has priority over the claims of common stockholders, but after that of bondholders. (II) Firms issue preferred stock in far greater amounts than common stock.
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The word ( ) means \a person (or a business like a bank or stock brokerage) who has the power and obligation to act for another (often called the beneficiary) under circumstances which require total trust, good faith and honesty\.
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An analyst gathered the following data about a company:Capital structure Required rate of return30% debt 10% for debt20% preferred stock 11% for preferred stock50% common stock 18%
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Those scientists were conducting an experiment and expected a good______.
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Assume that a $60 strike call has a 2.0% continuous dividend, r = 0.05, and the stock price is $61.00. What is the theta of the option as the expiration time declines from 60 to 50 days?
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If Investor A has a lower risk aversion coefficient than Investor B, will Investor Bs optimal portfolio most likely have a higher expected return on the capital allocation line?
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Lavery Corporation has two equal shareholders, and has been an electing S corporation since its inception.In the current year, Lavery has taxable income of $60,000.This amount includes $50,000 from operations and $10,000 from investment interest income.Because of these events, each shareholder's adjusted basis in the stock will increase by()
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A company has issued non-callable, non-convertible preferred stock with the following features:
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A share of common stock in a firm represents an ownership interest in that firm and allows stockholders to
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You invest in a stock that costs $45.50 per share. It pays a cash dividend during the year of $1.20 and you expect its price to be $49 at year’s end. What is your expected rate of return if you sell t
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An investor is considering two investments. Stock A has a mean annual return of 16 percent and a standard deviation of 14 percent. Stock B has a mean annual return of 20 percent and a standard deviation of 30 percent. Calculate the coefficient of variation (CV) of each stock. Which of the following statements is TRUE?
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Which term is used to describe the type of company that has its shares traded on a public stock exchange?
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