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Saving cash in the bank is not as attractive as it was in the past, and Large Rock is looking
to invest some of its surplus cash. In a meeting with senior managers in the company, you
mention the Modern Portfolio Theory which was pioneered by Markowitz.
Explain
a. The purpose of the Markowitz Portfolio Theory,
b. Who would benefit from this theory,
c. What is the key component of the theory
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Solved in 4 steps
- Saving cash in the bank is not as attractive as it was in the past, and Big Rock is lookingto invest some of its surplus cash. In a meeting with senior managers in the company, youmention the Modern Portfolio Theory which was pioneered by Markowitz.Required: Explain to the senior managers,a. The purpose of the Markowitz Portfolio Theory,b. Who would benefit from this theory,c. What is the key component of the theorySaving cash in the bank is not as attractive as it was in the past, and Big Rock is looking to invest some of its surplus cash. In a meeting with senior managers in the company, you mention the Modern Portfolio Theory which was pioneered by Markowitz. a. The purpose of the Markowitz Portfolio Theory,b. Who would benefit from this theory,c. What is the key component of the theory.Saving cash in the bank is not as attractive as it was in the past, and RBL is looking to invest some of its surplus cash. In a meeting with senior managers in the company, you mention the Modern Portfolio Theory which was pioneered by Markowitz. Required: Explain to the senior managers, a. The purpose of the Markowitz Portfolio Theory, b. What is the key component of the theory.
- What are the lessons for the lessons for investors and corporate managers with respect to market efficiency (check all that apply)? Group of answer choices If stocks are fairly priced, then investors can expect future cash flows that fairly compensate them for the risk of that investment You get paid (in the form of expected returns) for taking on risk If markets are efficient then relevant information quickly gets incorporated into prices Treasury departments of industrial firms should try to outguess the markets in managing their corporate cashWhich of the following is not one of the things that manager can do to reduce the capital ratio (increase the equity multiplier) if he or she finds that the bank has a capital surplus?O Buying back some of the bank's stock.O Paying out higher dividends to stockholders.O Selling more CDs and use the funds to invest in loans or securities.O Selling some mortgage-backed securities and use the proceeds to reduce liabilities.As a bank manager, you conclude that the bank has a capital shortfall and should decrease the equity multiplier (i.e., increase the capital ratio) to prevent bank failure. Which of the following is one of things you can do to manage capital adequacy of the bank? a.Acquiring more reserves through borrowing from fed funds loansb.Selling the bank's holding of mortgage-backed securities and using the proceeds to decrease liabilitiesc.Repurchasing shares of the bankd.Increasing dividend payout ratio to reduce retained earnings.
- Investors invest in a firm because they are motivated by the potential return on their investment. In evaluating a firm's potential for delivering that rate of return, what do they most look for in a firm's projections? The firm's ability to pay dividends The firm's plans to stock up on inventory in order to never run out of stock The firm's plans to extend credit terms to customers in order to gain more sales The firm's ability to generate cash by liquidating its marketable securities portfolioDerive CAPM and explain the concept of systematic risk. Explain the notion of geometric Brownian motion and hence derive Ito’s lemma. Narrate how inflation impacts present value of cash flow. What do you mean by ‘beauty contest’ and discuss its impact on investment decision of investors in stock market.Jolie Corp.is looking into the following transcations to change its risk profile. Which of the following transcations will for sure increase the risk-estimate of the company (and increase the borrowing interest rate) from the z-score perspective. Mark all that apply; more than one answer could be correct. Sold held-to maturity investments for a profit Write-off some obsolete inventory Collect cash from accounts receivable Buy long-term investments withcash
- Which of the following is false? a. Baumol model helps firm to find out their desirable level of cash balance under certainty b. Any presence of a cash buffer affects the cost of holding cash and ultimately the annual cost of cash for a particular firm c. A higher average daily disbursement float than average daily collection float is more desirable for a firm d. Accounts payable increase the number of days a firm’s resources are tied up in the operating cycleExplain how capital adequacy requirements may affect a commercial bank’s dividend payout and growth potential. If the bank anticipates a decrease in its capital adequacy ratio (capital to total asset ratio), what options are available to prevent the decline? What risks, if any, are there in each strategy... Banks’ managers do not want to mmaintain much capital because they do not bear fully the costs of their failure. In addition to this reason others claim that banks’ managers do not want to maintain higher levels of capital because higher levels of capital attract greater scrutiny from bank regulators. Comment on this claim. The two most pressing demands for liquidity from a bank come from, first, customers withdrawing their deposits. Identify and discuss the second demand on the bank for liquidity.The managers of a firm wish to expand the firm's operations and are trying to determine the amount of debt financing the firm should obtain versus the amount of equity financing that should be raised. The managers have asked you to explain the effects that both of these forms of financing would have on the cash flows of the firm. Write a short response to this request.