52 Weeks VOL NET HI LO SYM DIV YLD PE 100s HI LO LAST CHG 48.72 20.10 DUK 1.00 3.3 18 20925 31.55 29.40 30.20 0.56 25. Duke stock must have closed at day. a. $29.64 b. $30.76 c. $30.99 d. $32.11 per share on the previous trading
Q: Calculate the value of change in stock if opening stock is $340 million and the clos- ing stock is…
A: According to the above given question the given information is as follows:- Closing stock = $460…
Q: the change in stock if:- Closing stock = $3200 Opening stock = $1300
A: A stock or equity is a security that addresses the responsibility for part of an organization. This…
Q: Would it be wise for a young company that is growingquickly but still hasn’t achieved profitability…
A: A bond is a fixed interest asset reflecting a debt to a creditor provided by a lender. It is issued…
Q: The following is the stock table list for four different companies according to the Malaysian Stock…
A: 1. Closing Price of Apex yesterday = 3.35 Net Change = -0.01 Therefore, Closing price of Apex day…
Q: Irade Center? 2. Explain the economic significance of the changes in stock market prices illustrated…
A: Economic significance refers to the statistical significance and economic consequences of a decision…
Q: Using the graph below please answer questions a) - b): Value of Firm Assets $ 10 M a. Draw a graph…
A: The value of the firm is V, Debt is D Equity value is E . Then, D = min (V, D) E = max (V-D, 0)…
Q: 3. Your bank account pays an interest rate of 8 percent. You are considering buying a share of stock…
A: * SOLUTION :-
Q: It two companies, ABC Corporation and XYZ Corporation, are identical except that ABC has a P/E ratio…
A: P/E ratio or Price / Earning = stock price / Earning per share Higher the ratio, higher will be the…
Q: Say that a bond pays $12 in interest and has a current price on secondary markets of $132. Then the…
A: here we can find the current yield of bond as follow
Q: Suppose a ten-year bond with a $10,000 face value pays a 5.0% annual coupon (at the end of the…
A: Given: The face value of the bond is $10,000 The annual coupon rate is 0.05(5%) Annual coupn…
Q: Answer the attached question
A: An incorporated entity formed to limit liabilities of the owners/stockholders is a corporation.…
Q: what could be the different ways of windinh up a joint stock company
A: The companies act tells us how the joint stock company should be winded up. This is given under the…
Q: 1)Which of the statement is WRONG? A.The total risk of a security contains risk which is not…
A: Note:- Since we can only answer one question at a time, we'll answer the first one. Please repost…
Q: Suppose you invested $94 in the Ishares High Yield Fund (HYG) a month ago. It paid a dividend of…
A: Calculation of dividend yield: Dividend = 0.50, stock price = $95 =0.50/95 =0.52%
Q: 29. The price-weighted iñdex co three stocks is A. 30 B. 40 C. 50 D. 60 E. 70 Consider the following…
A: here we calculate the price weighted Index which are as follow-
Q: What is compute forward-looking expected return and risk and how does it influence financial…
A: . Introduction: Life is a series of compensation. To get something, you have to give up something.…
Q: 3. The price of NetFlex stock is $54.54; its expected dividend next year is S6, and its constant…
A: Economics is a branch of social science that describes and analyzes the behaviors and decisions…
Q: “If stock prices did not follow a random walk, therewould be unexploited profit opportunities in…
A: The given statement is uncertain. Unexploited profit is that in which market players earn a…
Q: 20 18 Stock DET 16 14 12 Stock AIL 10 Stock INO 6 4 2 0.2 0.4 0.6 0.8 1.0 1.2 1.4 1.6 1.8 2.0 RISK…
A:
Q: Assume that you manage a risky portfolio with an expected return of18% and a standard deviation of…
A: a.It is given that the expected return from the portfolio is 18 percent and the standard deviation…
Q: Find one (1) multi-national company in the Philippines. Identify at least five (5) risk management…
A: There are many measures that can be taken in order to protect the company from any kind of risk.…
Q: 2 A firm is planning to pay a dividend of $1.50 in a year. The growth rate of dividend is expected…
A: Economics is a branch of social science that describes and analyzes the behaviors and decisions…
Q: Suppose that all the long-term securities that the bank holds mature in 10 years and their interest…
A: n = 10 years r = 5%
Q: What it's the current situation of Kingspan company and how it's stock market.?
A: Kingspan is the world's leading manufacturer of high-performance insulation and building envelopes.…
Q: 1.Which of these is an example of an index (and would have a corresponding Index Fund)? Question…
A: Solution - Part "1" Answer - Example of an index ( and would have a corresponding Index fund ) We…
Q: Suppose that if you purchase a share of SuperCo, you will receive an annual dividend of $2.59 next…
A: Answer; Given Annual Dividend= $ 2.59 Approprate Discount Rate = 6.75% 0r 0.0675…
Q: In June 2020, Singapore Airlines Limited undertook a renounceable rights issue ofnew ordinary shares…
A: Given that, In June 2020, Singapore Airlines Limited embraced a renounceable rights issue ofnew…
Q: 7. Even if we can't exactly establish the actual cost of a stock out, in most cases we can still…
A: Answer - Need to find- The statement is true or false Given in the question- Even if we can't…
Q: Which of the following represents the risk of investment in order from lowest to highest? O A.…
A: Investment refers to the dedication of an asset to attain a rise in value over a period of time.…
Q: a) Explain the reason(s) why bond ratings and interest rate spreads on bonds differ. Which measure…
A: The credit quality or creditworthiness of government-issued bonds or corporate-issued bonds is…
Q: Carly wants to buy and operate an ice-cream truckbut doesn’t have the financial resources to start…
A: Stocks and bonds are the financial market instruments used by people in the economy, which is used…
Q: 6. An all-equity firm is considering the following projects. The T-bill rate (risk-free rate) is 3.5…
A: Economics is a branch of social science that describes and analyzes the behaviors and decisions…
Q: The value of change in stock is $100 million And closing stock is given as $130 million Calculate…
A: Here, given information is, Change in stock: $100 million Closing stock: $130 million
Q: Intro Consider the following information for Clinkle Company: Stock information: • Stock price: $54…
A:
Q: FarCry Industries, a maker of telecommunications equipment, has 2 million shares of common stock…
A: A share is the basic unit in which the capital of a company is divided. The people who hold shares…
Q: Assume the following information about the market and JumpMaster's stock. JumpMaster's beta = 1.50,…
A: The value of beta = 1.50 Risk free rate = 2% Market risk premium = 10%
Q: QUESTION 7 As a recenty hired analyst, you are tasked with evaluating your firm's bond portfolo. The…
A: Given: The constant payment of a bond is = $427 per year The present value of the bond is = $5,008…
Q: 49) Everything else held constant, an increase in the riskiness of bonds relative to alternative…
A: Equilibrium in the bonds market occurs at the intersection of demand and supply curves of bonds.
Q: Stock, Stock Options, and Restricted Stock are the market based unconditional compensations. Select…
A: A stock is a security that represents the ownership of a fraction of a corporation. This entitles…
Q: The following information is taken from Johnson & Johnson's annual reports. Its common stock is…
A: below find the answer.
Trending now
This is a popular solution!
Step by step
Solved in 3 steps with 1 images
- Many retirement funds charge an administrative fee each year equal to 0.25% on managed assets. Suppose that Alexx and Spenser each invest 5,000 in the same stock this year. Alexx invests directly and earns 5 a year. Spenser uses a retirement fund and earns 4.75. After 30 years, how much more will Alexx have than Spenser?The preferred stock of North Coast Shoreline pays an annual dividend of $1.70 and sells for $20.24 a share. What is the rate of return on this security? A. 5.95 percent B.7.08 percent C.8.40 percent DD. 11.90 percent DE 14.17 percent 1533 TB MC Qu. 12-82 A stock had annual returns of... A stock had annual returns of 5.5 percent, -12 percent, and 15.5 percent for the past thr of returns for this stock? 56.65% 6.94% 1.94%
- Person A, Person B and Person C own stock in the same company. All of them are loss averse and have the same value function: v(x) = x/2 for gains and v(x) = 2x for losses. The stock's price is shown in the graph below Stock Price 100 90 80 95 80 90 70 70 60 60 50 50 40 30 20 10 0 October November December January Feburary March (a) (b) O Person A bought the stock in November and uses the purchase price as their reference point. If you ask them, how much would they say that they lost in terms of value when the price dropped from £95 to £70? Person B bought the stock in October and uses the peak price as their reference point. If you ask them, how much would they say that they lost in terms of value in January? In January, which month should Person B rather use as reference point in order to maximize their value? (d) [ Person C bought the stock in March. They expect to derive a value of at least +5 in April as compared to their reference point of the purchase price. What is the minimum…7. Even if we can't exactly establish the actual cost of a stock out, in most cases we can still determine an appropriate level for safety stock. True FalseYou have decided to invest in an open-end mutual fund. You are currently looking at a fund-Washington Premier Fund-in your newspaper. The fund is quoted as: Name NAV Net Chg YTD %RET 36.25 0.15 6.95 Assume that today's opening price of Washington Premier Fund equals yesterday's closing price. If you wanted to make your investment first thing this morning, then you should expect to pay for each share of since it Yesterday, each share of sold for $35.95 $43.50 $36.25 $34.44 $0.15 less $0.15 more $6.95 less $6.95 more If you had $8,000 available to invest, you could purchase than it did the day before, and offers a return of 294 368 assesses a 0.15% fee 276 shares of. is a no-load fund charges a 6.95% fee 221 Your evaluation of the Washington Premier Fund is made easier by the fact that: your investment choices are limited. mutual funds are careful to explicitly state their investment objectives. a mutual fund broker will select a customized mix for you. 0.15% 36.25% 6.95% for the year.
- Q 2. Nu Things, Inc., is considering investing in a business venture with the following anticipated cash flow results: EOY Cash Flow 0 -$70,000 1 $20,000 2 $19,000 3 $18,000 4 $17,000 5 $16,000 6 $15,000 7 $14,000 8 $13,000 9 $12,000 10 $11,000 11 $10,000 12 $9,000 13 $8,000 14 $7,000 15 $6,000 16 $5,000 17 $4,000 18 $3,000 19 $2,000 20 $1,000 Assume MARR is 20 percent per year. Based on an internal rate of return analysis: Determine the investment’s worth: enter percentages rounded to 1 decimal place %What is compute forward-looking expected return and risk and how does it influence financial decisions regarding risk and return?5. Kraft is a limited partner of Johnson Enterprises, a limited partnership. As provided in the limited partnershipagreement, Kraft decided to leave the partnership anddemanded that her capital contribution of $20,000 bereturned. At this time, the partnership assets were$150,000 and liabilities to all creditors totaled $140,000.The partnership returned to Kraft her capital contribution of$20,000.a. What liability, if any, does Kraft have to the creditorsof Johnson Enterprises?b. If Johnson Enterprises had been formed as a limitedliability company, what liability, if any, would Krafthave to the creditors of Johnson Enterprises?
- Consider the following stock price and shares outstanding information. DECEMBER 31, Year 1 Shares DECEMBER 31, Year 2 Shares Price Outstanding Price Outstanding Stock K $19 108,000,000 $30 108,000,000 Stock M 76 2,000,000 47 Stock R 42 21,000,000 46 aStock split two-for-one during the year. 4,000,000a 21,000,000 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 your answers to two decimal places. PWIYear 1: PWIYear 2: VWIYear 1: VWIyear 2: 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: 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. % % %Give typing answer with explanation and conclusion to all parts The common stock of Teledyne trades on NYSE. Teledyne has never paid a cash dividend. the stock is relatively risky. Assume that the beta for Teledyne is 1.3 and that Teledyne closed at a price of $162. Hypothetical question quotes on Teledyne are as follows: Use the Teledyne data, answer the following: a. What is the cost of 10 October 150 call contracts in total dollars. b. what is the cost of 20 October 160Hi can you help me with this one please. Thank you. 1. Evaluate at least THREE money-market instruments based on risk and rate of return (explain well). Which one would you invest in? Why?