lease solve the all and the long expalaining im needed max in 30 minutes and no reject thank u The Ultimate Stock Trading Course (for Beginners) Risk Management Piecing everything together (Example trade) Trading methods Stock trading tips
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Please solve the all and the long expalaining im needed max in 30 minutes and no reject thank u
The Ultimate Stock Trading Course (for Beginners)
- Risk Management
- Piecing everything together (Example trade)
- Trading methods
- Stock trading tips
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- A trader bought ATM put for the strike price of 500@Rs. 19.72/- for Laurus Lab when stock was trading around 501 on spot. He also decides to add future (current month) at _. MIBOR rate is 4.65% & standard deviation is 36.79%. 1 lot = 2000. Calculate future price and find out profit & loss if at expiry stock closed at: a) 519 b) 607 c) 440 d) 392 Also draw the pay-off diagram highlighting the BEP and name the strategy opted by trader.Please solve fast max 15-20 minutes and no reject thank u If Po is worth $1,200 then at what market price would you buy the stock the companya. $1,100b. $1,200c. $1,300d. $1,400Solve the problem this with the long explanation. Im needed max in 30 minutes thank u What is a stock, types of stocks, why and how to trade? How to profit from a stock? How to calculate your returns?
- Excel Online Structured Activity: Black-Scholes Model Assume the following inputs for a call option: (1) current stock price is $29, (2) strike price is $35, (3) time to expiration is 4 months, (4) annualized risk-free rate is 4%, and (5) variance of stock return is 0.32. The data has been collected in the Microsoft Excel Online file below. Open the spreadsheet and perform the required analysis to answer the question below. Black-Scholes Model Current price of underlying stock, P $29.00 Strike price of the option, X $35.00 Number of months unitl expiration 4 Formulas Time until the option expires, t #N/A Risk-free rate, rRF 4.00% Variance, \sigma 2 0.32 d1 = #N/A N(d1) = 0.5000 d2 = #N/A N(d2) = 0.5000 VC = #N/A Use the Black-Scholes model to find the price for the call option. Do not round intermediate calculations. Round your answer to the nearest cent. $ fill in the blank.A stock had the following trades during a particular period. What was the money flow for the stock? (Leave no cells blank - be certain to enter "0" wherever required. Input all amounts as positive values. Do not round intermediate calculations. Round your answers to the nearest whole dollar.) Week Day Price Volume 1 Monday $ 91.42 Tuesday 91.38 2,700 Wednesday 91.39 3,100 Thursday 91.42 3,000 Friday 91.41 3,150 2 Monday 91.44 1,100 Tuesday 91.45 1,600 Wednesday 91.49 600 Thursday 91.48 1,500 Friday 91.50 3,300Adobe is a software company that creates the most innovative creativity apps. Recently their software has become cloud-based. Their price to book ratio is 1.67 and they currently have 1,000,000 shares outstanding. Below you will find an excerpt from their balance sheet for 2019 Calculate the stock price using the price to book ratio. If their stock price is listed on the stock market at $9, should the stockholders sell or hold the stock? Critically discuss the price to book ratio in valuing stocks and provide an alternative method to see if a stock is undervalued or overvalued.
- You decide to form a portfolio of the following amounts invested in the following stocks. What is the beta of the portfolio? Stock Amount Beta Expected Return Apple $8,000 2.40 10.50% Microsoft $6,000 0.73 16.90% Ford $4,000 1.95 15.75% Time $2,000 1.27 11.80% Warner 1.43 1.88 1.70 1.59 1.05 Only typing answer Please answer explaining in detail step by step without table and graph thankyouWhat is the equation for the equilibrium condition in a CAPM world (i.e. all investors will keep trading stocks and assets until what equality holds)? Derive it for me (show me the steps about how we got to that equilibrium equation). Need typed answer.Please give answer within 45 minutesThe market and Stock J have the following probability distributions: Probability rM rJ 0.3 15.00 % 19.00 % 0.4 10.00 6.00 0.3 18.00 10.00 The data has been collected in the Microsoft Excel Online file below. Open the spreadsheet and perform the required analysis to answer the questions below. Open spreadsheet Calculate the expected rate of return for the market. Do not round intermediate calculations. Round your answer to two decimal places.fill in the blank %Calculate the expected rate of return for Stock J. Do not round intermediate calculations. Round your answer to two decimal places.fill in the blank % Calculate the standard deviation for the market. Do not round intermediate calculations. Round your answer to two decimal places.fill in the blank %Calculate the standard deviation for Stock J. Do not round intermediate calculations. Round your answer to two decimal places.fill in the blank %
- Please show working Please answer ALL OF QUESTIONS 1 AND 2 1. Assume that the risk-free rate is 3.5% and the market risk premium is 8%. a. What is the required return for the overall stock market? Round your answer to two decimal places. __________ % b. What is the required rate of return on a stock with a beta of 2.4? Round your answer to two decimal places. __________ % 2. An individual has $50,000 invested in a stock with a beta of 0.8 and another $55,000 invested in a stock with a beta of 2.0. If these are the only two investments in her portfolio, what is her portfolio's beta? Do not round intermediate calculations. Round your answer to two decimal places._______An investor is considering purchasing Mars Inc. stock and expects a rate of return of 14.4%. The Mars beta is 1.2, the required rate of return on an average stock is 11.5%, and the risk-free rate of return is 6%. Calculate the required rate of return. Based on this information, would the investor purchase the stock? Why or why not? Only typed answer don't use chat gpt and give fastRefer to the following chart. An investor (a day trader) always buys 500 shares of stock at the market close price and sells them at the last sale price, paying a $30 commission per transaction. The stock the trader bought is MSLV. (a) Find the total cost.$ (b) Find the return for the day.$ (c) Find the percent of return. (Round your answer to one decimal place.)