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Assume the following information about the market and jumpmasters stock

07/01/2021 Client: saad24vbs Deadline: 3 days

Online Exam 8


Question 1 0 / 5 points


Which of the statements below is true?


Question options:




Investors want to maximize return and maximize risk.




Investors want to maximize return and minimize risk. (*This is correct)




Investors want to minimize return and maximize risk.




Investors want to minimize return and minimize risk.


Question 2 5 / 5 points


The practice of not putting all of your eggs in one basket is an illustration of:


Question options:




variance.




diversification.




portion control.




expected return.


Question 3 5 / 5 points


The security market line has:


Question options:




a positive slope.




a negative slope.




no slope.




a beta of 1.0.


Question 4 5 / 5 points


Given an expected market return of 12.0%, a beta of 0.75 for Benson Industries, and a risk-free rate of 4%, what is the expected return for Benson Industries?


Question options:




13%




10%




9%




4%


Question 5 5 / 5 points


For most stocks, the correlation coefficient with other stocks is:


Question options:




positive.




negative.




zero.




The distribution of correlation coefficients between stocks is uniform from -1.0 to +1.0.


Question 6 5 / 5 points


Stocks A, B, C, and D have standard deviations, respectively, of 20%, 5%, 10%, and 15%. Which one is the riskiest?


Question options:




Stock A




Stock B




Stock C




Stock D


Question 7 5 / 5 points


Travis bought a share of stock for $31.50 that paid a dividend of $.85 and sold six months later for $27.65. What was his dollar profit or loss and holding period return?


Question options:




-$3.00, -9.52%




-$3.85, -12.22%




-$.85, -2.70%




-$3.85, -9.52%


Question 8 5 / 5 points


__________ may be defined as a measure of uncertainty in a set of potential outcomes for an event in which there is a chance for some loss.


Question options:




Diversification




Risk




Uncertainty




Collaboration


Question 9 5 / 5 points


The __________ is the intercept on the security market line.


Question options:




prime rate




risk-free rate




market rate of return




beta


Question 10 5 / 5 points


Which of the following investments is considered to be default risk-free?


Question options:




Currency options




AAA-rated corporate bonds




Common stock




Treasury bills


Question 11 5 / 5 points


Correlation, a standardized measure of how stocks perform relative to one another in different states of the economy, has a range from:


Question options:




0.0 to +10.0.




0.0 to +1.0.




-1.0 to +1.0.




There is no range; correlation is a calculated number that can take on any value.


Question 12 5 / 5 points


Jarvis bought a share of stock for $15.75 that paid a dividend of $.45 and sold three months later for $18.65. What was his dollar profit or loss and holding period return?


Question options:




$2.90, 18.41%




$3.35, 21.27%




-$2.90, -18.41%




$.45, 2.86%


Question 13 5 / 5 points


Find the variance for a security that has three one-year returns of 5%, 10%, and 15%.


Question options:




10%




16.67%




25%




30%


Question 14 5 / 5 points


Find the variance for a security that has three one-year returns of -5%, 15%, and 20%.


Question options:




175%




75%




58.33%




25%


Question 15 5 / 5 points


Use the following table:


States of the Economy Probability of the State 3-Month T-Bill Large-Company Stock Small-Company Stock


Boom 0.3 4 10 30


Steady 0.5 4 5 20


Recession 0.2 4 0 10


What is the difference between the variances for large- and small-company stocks?


Question options:




40.25%




36.75%




27.30%




14.90%


Question 16 5 / 5 points


The correlation coefficient, a measurement of the comovement between two variables, has what range?


Question options:




From 0.0 to +10.0




From 0.0 to +1.0




From -1.0 to +10.0




From =1.0 to -1.0


Question 17 0 / 5 points


Stock A B C D


Expected Return 5% 5% 7% 6%


Standard Deviation 10% 12% 12% 11%


Which of the following statements is true?


Question options:




A is a better investment than B.




B is a better investment than C.




C is a better investment than D.




D is a better investment than C.


Question 18 5 / 5 points


Unsystematic risk:


Question options:




is also known as nondiversifiable risk.




can be diversified away.




is system-wide risk.




is equal to 2 times the systematic risk.


Question 19 5 / 5 points


Which of the following statements is true about variance?


Question options:




Variance describes how spread out a set of numbers or values are around its mean or average.




Variance is essentially the variability from the average.




The larger the variance, the greater the dispersion.




All of the above statements are true.


Question 20 5 / 5 points


Assume the following information about the market and JumpMasters' stock. JumpMasters' beta = 1.50, the risk-free rate is 3.5%, the market risk premium is 10%. Using the SML, what is the expected return for JumpMasters' stock?


Question options:




7.5%




13.5%




18.5%




27%

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