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    Risk and Return

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    Risk and Return: Portfolio Theory and Asset Pricing Models Portfolio Theory Capital Asset Pricing Model (CAPM) Efficient frontier Capital Market Line (CML) Security Market Line (SML) Beta calculation Arbitrage pricing theory Fama-French 3-factor model Portfolio Theory • Suppose Asset A has an expected return of 10 percent and a standard deviation of 20 percent. Asset B has an expected return of 16 percent and a standard deviation of 40 percent. If the correlation between A and B is 0.6

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    Abnormal Return

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    MODELLING ABNORMAL RETURN: A REVIEW ARTICLE Oleh Norman Strong Overview Paper ini memberikan panduan untuk metodologi event study dan menguraikan prosedur pemodelan return abnormal dan masalah yang terkait. Event Study Event study adalah nama yang diberikan pada penelitian empiris atas hubungan antara harga sekuritas dengan kejadian ekonomi (economic events). Kebanyakan event study memfokuskan pada perilaku harga saham dalam rangka untuk menguji apakah perilaku stokastik mereka dipengaruhi oleh pengungkapan

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    Returns to Scale

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    Returns to Scale Returns to scale is a concept that tries to explain the behaviour of the output in relation to the change in the total scale of operations of the firm. A change of scale of operations means a change in the total size of the firm‚ i.e. a change in both labour and capital of the firm. For determining the returns to scale‚ we need to calculate the Output Elasticity where: Output Elasticity = % change in Output/% change in all inputs The different types of returns to scales

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    Inside the Belly of Paradise By the 1860’s the Industrial Revolution had settled into the lives of Europe and was taking a firm hold on the social norm‚ cultural expectations‚ and the business practice in its entirety. In their wake‚ machines of the Industrial Revolution replaced human artistry. It was precisely because of these that made human craftsmanship outdated and obsolete; it was precisely because of these that the big department store‚ an emblem of capitalism‚ was able to emerge‚ dominate

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    Return To The Wild

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    The documentary Return to the Wild debates the two very different argued reasons of why Chris McCandless went into the wild. The writers choose to uncover the dark secrets of the McCandless family and to reveal the truth as to why Chris travelled into the Alaskan wilderness. The documentary adopts an intense tone in the beginning that shifts to a more light hearted attitude throughout the second half of the film using symbolism‚ cinematography‚ audio‚ and various interviews in order to explain to

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    Paradise Road Notes

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    Article on Paradise Road by Sue Sherman Area of Study 2 Context: Encountering Conflict Article by Sue Sherman PARADISE ROAD Directed by Bruce Beresford Bruce Beresford first gained wide critical success as director of Breaker Morant (1980)‚ a landmark film about three Australian soldiers wrongfully executed for alleged war crimes during the Boer War. Like Breaker Morant‚ Paradise Road (1997) is based on a true story. Beresford again takes up the theme of Australians’ involvement in war –

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    Essay On Paradise Now

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    Set in Palestine‚ Paradise Now is a movie that tells the story of two Palestinian childhood friends Khaled and Said‚ who are recruited to carry out a terrorist mission in Tel Aviv‚ Israel. The two friends are to cross into Israel and blow themselves up‚ a plan the friends are to keep secret from their families and relatives. The movie is seen as an accurate portrayal of the real life situation of Palestine citizens who are not happy with the thirty-eight years that Israelites have occupied their

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    Risk and Return

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    portfolio beta of .90? a. $0 b. $268 c. $482 d. $543 e. $600 EXPECTED RETURN c 60. You recently purchased a stock that is expected to earn 12 percent in a booming economy‚ 8 percent in a normal economy and lose 5 percent in a recessionary economy. There is a 15 percent probability of a boom‚ a 75 percent chance of a normal economy‚ and a 10 percent chance of a recession. What is your expected rate of return on this stock? a. 5.00 percent b. 6.45 percent c. 7.30

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    Risk and Return

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    line of returns for Asset B is steeper (has greater slope) than Asset A The slopes of these lines are the betas for each asset: 2.61 for Asset B and 1.48 for Asset A. The greater beta value of Asset B signifies that it is more responsive to market factors and therefore makes it more risky than Asset A. P8-20 Interpreting Beta a. A 15% increase in market return would lead to an 18% (15% x 1.20) increase in the asset’s return. b. An 8% decrease in market return would lead

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    Rate of Return

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    ch10 Student: ___________________________________________________________________________ 1. The capital gains yield plus the dividend yield on a security is called the: A. geometric return. B. average period return. C. current yield. D. total return. 2. The expected return on a security in the market context is: A. a negative function of execs security risk. B. a positive function of the beta. C. a negative function of the beta. D. a positive function of the excess security

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