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- TOTAL VS. SYSTEMATIC RISK • Consider the following information: Standard Deviation BetaSecurity C 20% 1.25Security K 30% 0.95 • Which security has more total risk?• Which security has more systematic risk?• Which security should have the higherexpected return?Q8. Which of the following statements are INCORRECT? I Beta measures non-diversifiable risk. II Market's beta is always 1. III When an asset's beta is more than 1, the asset's return should be more than 1%. IV Investors are only compensated for taking diversifiable risk. Group of answer choices 1. I and III 2. II and III 3. III and IV 4. I and IIq2- Which of the following statements is correct? Select one: a. Only risk averse investors would prefer the maximum return for a given level of risk. b. All investors would prefer the minimum risk for a given level of return. c. All investors would refer the maximum level of return for a given level of risk. d. None of the above. Clear my choice
- assume that risk free rate, RF, is currently 8%, the market return, 1m, is 12%, and asset a beta ba, is 1.10. (a) Draw the SML on a set of "non-diversifiable risk Please sent me complete this question for further reliance.Q7. In a market that is efficient, investors are only compensated for bearing Group of answer choices 1. diversifiable risk 2. unique risk 3. total risk 4. non-diversifiable riskExample of CAPM Equation: Case Risk free Rate (Rf) Market return (Km) Beta (b) Required Return A 5% 8% 1.30 ? B 8% 13% 0.90 ? C 10% 15% -0.20% ? D ? 12% 1.0 12% E 6% ? 0.60 9% F 5% 16% ? 10% Required: Using CAPM equation, compute the missing value (?)
- Assume that the risk-free rate, RF, is currently 8%, the market return, RM, is 12%, and asset A has a beta, of 1.10. (could be done on word document or excel). Draw the security market line (SML) Use the CAPM to calculate the required return, on asset A. Assume that as a result of recent events, investors have become more risk averse, causing the market return to rise by 2%, to be14%. Ignoring the shift in part c, draw the new SML on the same set of axes that you used before, and calculate and show the new required return for asset A.A change in the risk premium, E(Rm) - Rf, results in... Group of answer choices 1. A change in the vertical intercept of the Security Market Line (SML) 2. No change in the return/beta relationship. 3. A change in the horizontal intercept of the Security Market Line (SML) 4. A change in the slope of the Security Market Line (SML)If the Risk free rate changed to 5%, which stock would provide higher return and why? CBA ER - 12% SD - 20% Beta - 1.3 WES ER - 10% Sd - 12% Beta - 1.0
- Consider the following information: Standard Deviation. Beta Security T 30% 1.90 Security K. 30% 1.20 a. Which security has more total risk? b. Which security has more systematic risk? c. Which security should have the higher expected return? d. What does the total risk consist of? What kind of risk is eliminated with portfolio diversification?Consider the following information: Standard Deviation Beta Security T 30% 1.90 Security K 30% 1.20 Which security has more total risk? Which security has more systematic risk? Which security should have the higher expected return? What does the total risk consist of? What kind of risk is eliminated with portfolio diversification?Can someone give an example or scenario about the following: 1. Capital Asset Pricing Model2. Market Risk premium3. Risk free rate4. Security market line5. Systematic risk