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Question 3 [20 points] The following table shows some estimates of the risk of stock A,

01 / 10 / 2021 Research Papers

This paper circulates around the core theme of Question 3 [20 points] The following table shows some estimates of the risk of stock A, together with its essential aspects. It has been reviewed and purchased by the majority of students thus, this paper is rated 4.8 out of 5 points by the students. In addition to this, the price of this paper commences from £ 99. To get this paper written from the scratch, order this assignment now. 100% confidential, 100% plagiarism-free.

Question 3 [20 points] The following table shows some estimates of the risk of stock A, stock B, and 1 answer below » Question 3 [20 points] The following table shows some estimates of the risk of stock A, stock B, and the AEX. The listed volatility is the standard deviation of the asset return over next year. Assume CAPM theory holds with AEX as market portfolio. CP(euro) Vol. Corr Beta Exp return with AEX Stock A 15 0.2 0.4 10% Stock B 7.5 60% 20% AEX 333 30% 16% View complete question » Question 3 [20 points] The following table shows some estimates of the risk of stock A, stock B, and the AEX. The listed volatility is the standard deviation of the asset return over next year. Assume CAPM theory holds with AEX as market portfolio. CP(euro) Vol. Corr Beta Exp return with AEX Stock A 15 0.2 0.4 10% Stock B 7.5 60% 20% AEX 333 30% 16% a. Complete the table, i.e, reconstruct the 5 figures that are not given in the table. b. Determine a portfolio (pf) in stock A and B with the same level of systematic risk as in the AEX. What is the unique variance of pf, assuming that the correlation between returns of stock A and B is 0.3? Is pf efficient? c. What is the certainty equivalent of selling stock B at the end of the year? View less » Oct 09 2015 11:29 AM



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