Which of the following is a TRUE statement? ○ The separation theorem states that the investment decision, (how to construct the portfolio of risky assets), is not separate from the financing decision, (how much should be invested or borrowed in the risk-free asset). ● The tangent portfolio is the risky portfolio on the efficient frontier whose tangent line cuts the horizontal axis at the risk- free rate. ○ The market portfolio is a portfolio that contains some risky securities in the market. ○ The new (or super) efficient frontier represents the portfolios composed of the risk-free rate and the tangent portfolio that offers the highest expected rate of return for any given level or risk.
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- 2. Let U(w) denote the utility function for an investor. (a) If the investor is non-satiated, what property must U(w) have? (b) If the investor is risk-neutral, what property must U(w) have? (c) Let X be a fair gamble. Suppose that an investor is risk-seeking. What would the investor prefer between X and the empty portfolio (i.e. making no investment)?Which of the following statement is true? O For any type of derivatives, the payoffs will never be negative For any type of derivatives, the profit will never be negative There is no derivative that offers non-negative payoffs There is no derivative that offers non-negative profit All of the statements above are wrongA company is considering a new plan for its capital structure. Which of the following is true if, under the new plan, the company's weighted average cost of capital exceeds the expected return? The company's value will increase. The company's proposed capital structure may put it at risk for bankruptcy. O The company is over-leveraged. The company's cost of capital is still at a comfortable level.
- The process of evaluating risk to make certain that the risk cost coverage is adequate to reduce the exposure to risk, is referred to as? Select one: a. Risk coverage b. Liquidity coverage c. Underwriting d. Risk poolingEvaluate the following statements:S1. Any investment income of general borrowing is deducted from capitalizable borrowing cost.S2. If the asset is financed by specific borrowing but a portion is used for working capital purposes, the borrowing shall be treated as general borrowing in determining capitalizable borrowing cost. a.False, False b.False, True c.True, True d.True, FalseA power producing company wants to purchase a natural gas futures contract. It will use the natural gas to generate electricity. The company's position in natural gas is futures position should be underlying __, so its a) long, short; b) long, long; c) short, long; d) short, short
- Which of the following statements is correct for the Black-Scholes model? A) The price of an American call written on a stock is: c = SN(d1)-Ke-rTN(d2) B) The stock price at a future point in time follows a log-normal distribution. C) The continuously compounded return on the stock follows a log-normal distribution. D) Black-Scholes prices may allow for arbitrage opportunities. Please explain and justify your choice.- Consider demand: x(p₁) = 400 — 2p1 At a market price of p₁ = $125 per unit: • Determine the social loss due to moral hazard when assuming: 1. Full insurance compared to uninsured 2. A co-payment of $50 compared to uninsured 3. A 75% coinsurance rate compared to uninsuredSuppose that machinery used by a bank for sorting and clearing cheques breaks down. This is a manifestation of: Select one: a. Liquidity Risk b. Operational Risk c. Credit Risk d. Insolvency Risk
- #17FAVORABLE UNFAVORABLEMARKET MARKETEQUIPMENT ( $) ($)Sub 100 300,000 –200,000Oiler J 250,000 –100,000Texan 75,000 –18,000For example, if Ken purchases a Sub 100 and ifthere is a favorable market, he will realize a profitof $300,000. On the other hand, if the market is unfavorable, Ken will suffer a loss of $200,000. ButKen has always been a very optimistic decisionmaker.(a) What type of decision is Ken facing?(b) What decision criterion should he use?(c) What alternative is best? #18Although Ken Brown (discussed in Problem 3-17) is the principal owner of Brown Oil, his brother Bob iscredited with making the company a financial success. Bob is vice president of finance. Bob attributeshis success to his pessimistic attitude about business and the oil industry. Given the information fromProblem 3-17, it is likely that Bob will arrive at a different decision. What decision criterion should Bobuse, and what alternative…Ken is an appraiser who was hired to appraise a single-family home. Ken's subject property is similar to many of the houses in the neighborhood since much of the neighborhood was built around the same time. Why would the sales comparison approach be the most effective valuation method for Ken? ○ Since the cost to rebuild the property can easily be determined, the sales comparison approach should be used, Since the property has the potential to be rented out, the sales comparison approach should be used. Residential properties are typically valued using the sales comparison approach, and Ken will most likely have several comparable properties to use to value the subject property. The cost approach should be used by Ken rather than the sales comparison approach.stock R has a beta of 1,5. Stock S has a beta of 0,75, the expected rate of return on an average stock is 13%, and the risk-free rate is 7%. By how much does the required return of the riskier stock exceed that on the less risky stock?