Suppose you are attempting to value a 1-year expiration option on a stock with volatility (i.e., annualized standard deviation) of σ = 0.34. What would be the appropriate values for u and d if your binomial model is set up using: 1 period of 1 year. 4 subperiods, each 3 months. 12 subperiods, each 1 month.

Essentials Of Investments
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Chapter1: Investments: Background And Issues
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Suppose you are attempting to value a 1-year expiration option on a stock with volatility (i.e., annualized standard deviation) of σ = 0.34.

What would be the appropriate values for u and d if your binomial model is set up using:

  1. 1 period of 1 year.
  2. 4 subperiods, each 3 months.
  3. 12 subperiods, each 1 month.
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