highest expected return. The Hong Kong Stock Exchange is the sixth largest stock exchange in the world with 1‚477 listed companies and a combined market capitalization of HKD 17 trillion. Trading stocks from the Hong Kong stock market has become one of the most popular forms of investment in the region. The question is – how do we find out which asset is the best to invest on? Very often‚ investors hold a selection‚ instead of a single stock‚ in order to maximize their return in the long run. Why
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that has the maximum rate of return for every given level of risk‚ or the minimum risk for every level of return.” I plotted standard deviation on x axes and Returns on y axes to interpret efficient frontier. Exhibits also include these and the graphs you asked for as graph2: In our study‚ we concentrated on the optimal portfolios‚ the one which has the lowest volatility or risk‚ for given level of return. The area below the frontier shows the achievable risk-return combinations‚ there will be at
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Chapter 6 (11ed. Ch.)4 Risk and Return: The Basics MINI CASE Assume that you recently graduated with a major in finance‚ and you just landed a job as a financial planner with Barney Smith Inc.‚ a large financial services corporation. Your first assignment is to invest $100‚000 for a client. Because the funds are to be invested in a business at the end of one year‚ you have been instructed to plan for a one-year holding period. Further‚ your boss has restricted you to the following investment
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FINA 4104: Advanced Financial Management Professor Xuewen Liu Department of Finance‚ HKUST Spring 2013 Email: Xuewenliu@ust.hk Office hour: 13:30-14:30 Tuesday Assessment: Assignments (12%)‚ Midterm-exam (18%)‚ Projects and presentations (15%)‚ and Final exam (55%) Textbooks: 1. Corporate Finance‚ by J. Beck and P. DeMarzo‚ 2nd edition 2011‚ Pearson Education‚ Inc. Hereafter BD. 2. Financial Markets and Corporate Strategy‚ by M. Grinblatt and S. Titman‚ 2nd edition‚ 2002‚ Irwin McGraw
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calculated are also based on the data from yahoo finance. We made Beta for the companies with 10 year ranges and use it to calculate return of equity. After we got those number‚ we can calculate the WACC. Advanced Micro Devices Bate—2.33 Corporate tax rate – 2.79% Returns of Equity – 11.29% WACC – 10.83% Duke Energy Bate – 0.36 Corporate tax rate – 28.76% Returns of Equity – 4.104% WACC – 2.76% The data we list above‚ show the major difference between two companies. The Bate of AMD is
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for the state of the economy‚ and the security analysts have developed software to estimate the rate of return on each of these alternatives under each state of the economy. A chart showing the results of the analysis is in Appendix A of this report. Section 1 of this report begins with a discussion on the concept of Return. The calculations of each of the alternatives expected rate of return are also calculated and discussed. Section 1 then continues with the concept of Risk. Three different measurements
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Chapter 8 Risk and Return: Capital Market Theory 8-1. To find the expected return from James Fromholtz’s investment opportunity‚ we will use equation 7-3: where i indexes the various states of nature that are possible. We can picture the states of nature for James’s opportunity as: Despite the symmetrical appearance of the graph‚ the outcomes are not symmetrical: There are many more outcomes that are positive than negative. Only the 100% return (probability 5%) is negative; 95% of the weight
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advantages of using the payback period calculation. It is very simple to calculate‚ and it is a good measure of risk in a project. As stated before‚ the longer it will take to return the money on the project the riskier it is. Also‚ for companies that have liquidity problems‚ it provides a good resource on what investments will return money the quickest. A big disadvantage of the payback period is that it does not take into account the time value of money which can lead to wrong decisions. It also ignores
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