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Question 1.

You have the following rates of return for a risky portfolio for several recent years. Assume that the stock pays no dividends.

- What is the geometric average return (rG) for the period?

Year

Beginning, of

Year Price

= of shares

bought or sold

2008              550.00            100 bought

2009              555.00            50 bought

2010              451.00             75 sold

2011              554.00             75 sold

Question 2.

Use the following scenario analysis for stocks X and Y to answer the questions below:

 

Bear Market

Normal Market

Bull Market

Probability

0.2

0.5

0.3

Stock X

-20%

18%

50%

Stock Y

-15%

20%

10%

1. What are the expected returns for stock X and Y?

2. What are the standard deviations of returns on stocks X and Y?

3. Assume that of your $10,000 portfolio, you invest $9,000 in stock X and $1,000 in stock Y. What is the expected return on your portfolio?

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