After doing analysis, institutional investors and hedge funds managers (institutionals) felt GameStop stock was overvalued. The short squeeze orchestrated by users forced the institutionals to buy the GameStop shares at a higher price than they had anticipated when they covered the short. Group of answer choices True False
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- Which of the following regarding the S&P 500 inclusion anomaly is FALSE? Group of answer choices a) The share price increases without any fundamental good news about the company. b) Stocks that experience larger demand shocks as a consequence of inclusion also experience larger returns on the announcement. c) Stock price increases on the news of the inclusion in the Index have grown sharply over time as index funds grew. d) Stocks whose returns are harder to replicate experience smaller returns on the announcement.Which one of the following would provide evidence against the semistrong form of the efficient market theory?a. About 50% of pension funds outperform the market in any year.b. All investors have learned to exploit management signals about the future performance of the firm.c. Trend analysis is worthless in determining stock prices.d. Low P/E stocks tend to have positive abnormal returns over the long run.A street analyst is trying to conduct top-down research. In order to realign investment portfolio, he plans to remove the stock that has the lowest market share in its industry. He is currently looking at the following stocks: Stock Name: ABCRevenue: 2,345,678.00Industry Sales: 27,000,579.88 Stock Name: DEFRevenue: 278,000.00Industry Sales: 2,897,000.90 Stock Name: GHIRevenue: 1,334,567.00Industry Sales: 8,700,899.76 Stock Name: JKLRevenue: 4,400,990.00Industry Sales: 6,678,999.00 Stock Name: MNORevenue: 13,000,000.00Industry Sales: 87,994,678.00 Which stock will he remove?
- An investment bank’s clients wanted to manipulate its stock price in order tofacilitate a better selling price in private placement deal with a pension fund.To assist the client, the investment bank solicits other advisory clients to buythe company stock; at the same time solicits other clients to sell the samecompany stock to effect a matched. These trades represent a large percentage of the company’s stock volume, which leads to a drastic increase in price. Comment the action of the investment bank.Which of the following are consistent with the efficient market hypothesis? Check all that apply. Changes in stock prices can be accurately predicted by investors. At the market price, the number of people who believe the stock is overvalued exactly equals the number of people who think the stock is undervalued. A positive news release about a company will increase the value and stock price for that firm. Some investors cite the existence of anomalies—observations that do not fit the model—as evidence that stock markets are not efficient. Which of the following are such anomalies? Check all that apply. The best time to sell a stock is late on Wednesday or Friday, whereas the best time to buy a stock is late on Tuesday or Thursday. The movement of stock prices of companies over time is the same as the changes in their earnings. High returns to a stock in one period are associated with even higher returns in a later period. There is a…Top-down research is being attempted by a street analyst. He intends to eliminate the stock with the lowest market share in its industry from his investment portfolio in order to realign it. Currently, he is considering the following stocks: Stock Name: ABCRevenue: 2,345,678.00Industry Sales: 27,000,579.88 Stock Name: DEFRevenue: 278,000.00Industry Sales: 2,897,000.90 Stock Name: GHIRevenue: 1,334,567.00Industry Sales: 8,700,899.76 Stock Name: JKLRevenue: 4,400,990.00Industry Sales: 6,678,999.00 Stock Name: MNORevenue: 13,000,000.00Industry Sales: 87,994,678.00 What stock is he going to get rid of?
- Which one of the following expressions about stocks is wrong? a.The estimated dividend payment and price of a stock that we get from the internet are just an educated guess: the average of analyst estimates. B. Shorting stocks are restricted in some market because of extremely high risk of shorting. C It is common for young companies typically do not pay dividendsWhich of the following statements is correct? Multiple Choice Penny stocks are the stocks of small companies that are priced below $1 per share. Restricted stocks are shares of stock issued to executives that have limitations on voting rights. The capital market line graphs the relationship between return and risk (beta). All of these choices are correct.Please show formula and solution A street analyst is trying to conduct top-down research. In order to realign investment portfolio, he plans to remove the stock that has the lowest market share in its industry. He is currently looking at the following stocks: Stock Name: ABC Revenue: 2,345,678.00 Industry Sales: 27,000,579.88 Stock Name: DEF Revenue: 278,000.00 Industry Sales: 2,897,000.90 Stock Name: GHI Revenue: 1,334,567.00 Industry Sales: 8,700,899.76 Stock Name: JKL Revenue: 4,400,990.00 Industry Sales: 6,678,999.00 Stock Name: MNO Revenue: 13,000,000.00 Industry Sales: 87,994,678.00 Which stock will he remove?
- assuming that the stock market is efficient which of the following statements is correct? A. investors can make money through investing in hot IPO‘s. B. skilled mutual fund managers can outperform the market by selecting undervalued stocks. C. investing in individual stocks is always more rewarding than in diversified portfolios. D. The best investment vehicle is market index funds.-Give an example of a hidden capital gain. -List the reasonns why mutual funds redeem shares -Is a negative Sharpe ratio good or bad? EXPLAIN -If a mutual fund earned 12 % when the market earned only 9 % does this prove the manager outperform the market? -if diversification is desired, would you seek investments with high correlation?A study analyzed the behavior of the stock prices of firms that had lost antitrust cases. Included in the diagram are all firms that lost the initial court decision, even if the decision was later overturned on appeal. The event at Time 0 is the initial, pre-appeal court decision. Assume no other information was released, aside from that disclosed in the initial trial. The stock prices all have a beta of 1. Is the diagram consistent with market efficiency? Why or why not?