Which flow of funds indicator is considered bearish for equities? A. Higher than Average cash balances in mutual funds B. A Large increase in the number of IPOs C. An upturn inmargin debt but one that is still below the long-term average
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Which flow of funds indicator is considered bearish for equities?
A. Higher than Average cash balances in mutual funds
B. A Large increase in the number of IPOs
C. An upturn inmargin debt but one that is still below the long-term average
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- An increase in the riskiness of financial securities results in a_______ in the supply of loanable funds and hence shift in the supply curve to the_______ O Decrease, leftO Decrease, rightO Increase, left O Increase, rightTopic: Cost of Funds Solve the following cases using the Gordon Growth Model of determining the cost of funds. (No Time Period given) 1. Current dividend on ordinary share P8 Growth Rate 10% Market price per ordinary share P55 Flotation Costs 6% Cost of ordinary share ? Cost of retained earnings ?Scenario Probability Stock fund Rate of Return Bond fund Rate of Return Severe recession 0.05 -30 -11 Mild recession 0.25 -15 13 Normal Growth 0.40 15 12 Boom 0.30 32 -7 Calculate the covariance and correlation coefficient of the two 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?Open-end equity mutual funds find it necessary to keep a significant percentage of total investments, typically around 5% of the portfolio, in very liquid money market assets. Closed-end funds do not have to maintain such a position in “cash equivalent” securities. What difference between open-end and closed-end funds might account for their differing policies?Which mutual fund tends to be invested in companies with relatively low P/E ratios and good growth potential to its peers? A : Growth and income fund B : Value fund C : Growth fund D : Balanced fund
- Consider the following table: Scenario Probability Stock FundRate of Return Bond FundRate of Return Severe recession 0.10 −43% −12% Mild recession 0.20 −17.0% 12% Normal growth 0.30 17% 6% Boom 0.40 31% 4% Required: a. Calculate the values of mean return and variance for the stock fund. (Do not round intermediate calculations. Round "Mean return" value to 1 decimal place and "Variance" to 4 decimal places.) b. Calculate the value of the covariance between the stock and bond fundsConsider the performance of a stock fund and a bond fund, based on the state of the economy. State of Economy Probability Stock Fund: Rate of Return Bond Fund: Rate of Return Boom 0.2500 0.4500 0.0500 Normal Growth 0.4500 0.1300 0.0700 Recession 0.2750 -0.1500 0.0750 Severe Recession 0.0250 -0.4000 -0.0500 Measurement Stock Fund Bond Fund Mean 11.98% 6.34% Variance 0.0541 0.0004 Standard Deviation 23.25% 2.06% Covariance (Stock and Bond Funds) -0.05% Correlation -9.68% Required: Using the information in the table above and the weights below, calculate the mean, variance, and standard deviation of a combined portfolio. Stock Fund 70% Bond Fund 30% (Use cells A5 to D21 from the given information to complete this question.) Portfolio Performance Mean Variance Standard…Which of the following statements is false? A. Banks have high levels of liquidity assets and stable funding since the financial crisis. B. Compared with bonds with short-term duration, bonds with long-term duration have uncertainty regarding future creditworthiness. C. Expected loss can decrease with an increase in a bond’s recovery rate. D. Macaulay duration is calculated as modified duration divided by one plus the bond’s yield to maturity.
- A fundamental analyst uses the discounted cashflow method to value firms, and has a short-term perspective on purchasing stocks and bonds. True or false?Investments are made to earn a return, but making investments requires the individual to bear risk. A higher return by itself does not necessarily indicate superior performance. It may simply be the result of taking more risk. Given this context, answer the following two-part questions. A mutual fund generates a 10.8 percent return. During the same period, the market rose by 8.8 percent. If the risk-free rate was 2 percent and the fund had a beta of 1.2 : Did the fund outperform the market? Explain your response.Which of the following statements is the least accurate? a. Security returns are composed of cash returns and capital gains. b. When the shareholder’s required rate of return is higher than ROE, a company can increase the stock price by retaining and reinvesting more. c. The geometric average return is always smaller than or equal to the arithmetic average return. d. When the coupon rate is smaller than the yield to maturity, a bond sells below par (discount).