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Suppose you create a two-stock portfolio by investing $50,000 in Alta Industries and $50,000 in Repo Men.

State of Economy

Probability

T-Bills

Alta Inds.

Repo Men

American Foam

Market Port.

Recession

0.1

8.00%

-22.0%

28.0%

10.0%

-13.0%

Below Average

0.2

8.00%

-2.0%

14.7%

-10.0%

1.0%

Average

0.4

8.00%

20.0%

0.0%

7.0%

15.0%

Above Average

0.2

8.00%

35.0%

-10.0%

45.0%

29.0%

Boom

0.1

8.00%

50.0%

-20.0%

30.0%

43.0%


Tbills

Alta Inds.

Repo Men

AmericanFoam

Market Port

Expectedreturn

8%

17.40%

1.74%

13.80%

15.00%

Variance

0%

4.01%

1.79%

3.54%

2.35%

Standard Deviation

0%

20.04%

13.36%

18.82%

15.34%

coefficient of variation

0%

115.15%

768.03%

136.37%

102.24%

Beta

0.00

1.29

-0.86

0.68

1.00

A. Calculate the expected return, standard deviation, coefficient of variation, and beta for this portfolio.

B. How does the risk of this two-stock portfolio compare with the risk of the individual stocks if they were held in isolation?

Financial Management, Finance

  • Category:- Financial Management
  • Reference No.:- M92842221

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