Preview

Alex Sharpe

Satisfactory Essays
Open Document
Open Document
601 Words
Grammar
Grammar
Plagiarism
Plagiarism
Writing
Writing
Score
Score
Alex Sharpe
Alex Sharpe Assignment – T. Jabran

Answer 1.
By comparing both the stocks, the riskiest stock in this case is Reynolds. It has the highest return as well as higher standard deviation and the higher variance. If we compare both stocks, Reynolds is riskier than Hasbro in this case. The higher variance indicates higher chance that the actual return on Reynolds will deviate from the expected return. S&P 500
REYNOLDS
HASBRO
Mean/Average
0.574333
1.874833
1.183833
Variance
12.972333
87.730541
65.866763
Standard Deviation
3.601713
9.366458
8.115834

Answer 2.
At individual stock level, Reynolds fluctuates more than Hasboro as it has higher Standard Deviation and higher variance. After calculating the portfolio of both the stocks, it gives us a different picture.
Looking at the numbers at portfolio level, Portfolio A which constitutes Reynolds still has a higher return(.587) but at a lower standard deviation (3.59) and variance (12.9), compared to Hasbro. This means that Reynolds when combined with S&P 500 is giving a higher return at the portfolio level but with a lower standard deviation and a lower variance when compared with the portfolio of S&P & Hasbro. It also means Reynolds is less risky than Hasbro when combined in a portfolio. Portfolio B (S&P+Hasboro) in this case seems more volatile than Portfolio A(S&P + Reynolds).We can also say that the variance which is measuring the risk involved was reduced by combining the stock in a portfolio.

Portfolio A (.99 S&P + .01 Reynolds)
Portfolio B (.99 S&P + .01 HASBRO)
Mean/Average
0.587338
0.580428
Variance
12.911939
13.085449
Standard Deviation
3.593319
3.617382

Answer 3.
Reynolds Beta =.7358 Hasbro Beta 1.4198
Calculating the Beta, Hasbro’s beta is more than 1, which means it’s more volatile than the market. We can also say its 42% more volatile than the market. Higher beta also offers a possibility of a higher rate of return but also with higher risk.
Reynolds has a beta of

You May Also Find These Documents Helpful

  • Good Essays

    Nt1310 Unit 7-1

    • 1558 Words
    • 7 Pages

    We can also say on the basis of the available information that σY is smaller than σM; Stock Y's market risk is only 62 percent of the "market," but it does have company-specific risk, while the market portfolio does not. However, we know from the given data that…

    • 1558 Words
    • 7 Pages
    Good Essays
  • Satisfactory Essays

    Finance Chapter 1-5, 7-10

    • 1966 Words
    • 8 Pages

    | |A portfolio with a large number of randomly selected stocks would have more market risk than a single stock that has a beta of 0.5, assuming that the stock's beta was correctly calculated and is stable. | | | |If a stock has a negative beta, its expected return must be negative. | | | |A portfolio with a large number of randomly selected stocks would have less market risk than a single stock that has a beta of 0.5. | | | |According to the CAPM, stocks with higher standard deviations of returns must also have higher expected returns. | | | |If the returns on two stocks are perfectly positively correlated (i.e., the correlation coefficient is +1.0) and these stocks have identical standard deviations, an equally weighted portfolio of the two stocks will have a standard deviation that is less than that of the individual stocks. | |…

    • 1966 Words
    • 8 Pages
    Satisfactory Essays
  • Good Essays

    Hrm/531 Week 3 Quiz

    • 1150 Words
    • 5 Pages

    When stock returns do not move perfectly with each other, the variations in the returns on one stock may be countered by variations in other stocks’ returns.…

    • 1150 Words
    • 5 Pages
    Good Essays
  • Good Essays

    The two stocks that I chose from the same industry are Verizon Communication and AT&T, Inc. These two companies are from the Telecom Service Industry. On July 12, 2012 I took the closing price for each stock. Verizon’s closing price was $44.67 and AT&T’s closing price was $34.87. So on July 12 buying Verizon I would have made more money compared to if I bought AT&T. I found all of my information on the New York Stock Exchange (NYSE). Some financial information that I found about Verizon is that their overall revenue for 2011 was 112.13 billion but they did have a total debt of 51.60 billion. Some financial information that I found about AT&T is that their overall revenue for 2011 was 127.30 but they did have a total debt of 65.71 billion.…

    • 687 Words
    • 3 Pages
    Good Essays
  • Powerful Essays

    Antwon Fisher

    • 1837 Words
    • 8 Pages

    will act as his therapist. The film is a true story about a man going through numerous…

    • 1837 Words
    • 8 Pages
    Powerful Essays
  • Good Essays

    Finance 301 Exam 2

    • 1191 Words
    • 4 Pages

    6. The alpha for this portfolio is 1.79 while the beta is .71. What this mean is that this company is defensive and while it could be considered a safe investment, the company is also outperform the market. This would be a great investment for any investor. (Math is on last page)…

    • 1191 Words
    • 4 Pages
    Good Essays
  • Good Essays

    We decided to use the returns for large-company stocks because Papa John’s is already an established corporation with substantial market capitalization. Since the S&P 500 index is our benchmark, it makes more sense to use the market returns of large company stocks than those of small company stocks.…

    • 956 Words
    • 4 Pages
    Good Essays
  • Satisfactory Essays

    Fin Study Guide

    • 2413 Words
    • 10 Pages

    Safer investments tend to have lower returns. D. Higher risk investments provide lower returns. E. Risk and return are not related. 2. Which of the following concerning the relationship between risk and return is correct?…

    • 2413 Words
    • 10 Pages
    Satisfactory Essays
  • Satisfactory Essays

    Patch Adams

    • 844 Words
    • 4 Pages

    Hunter Doherty "Patch" Adams (born May 28, 1945, in Washington, D.C.) is an American physician, social activist, clown and author. He founded the Gesundheit! Institute in 1971. Each year he organizes a group of volunteers from around the world to travel to various countries where they dress as clowns in an effort to bring humor to orphans, patients, and other people.…

    • 844 Words
    • 4 Pages
    Satisfactory Essays
  • Good Essays

    The BH-L Relative Unique Risk (RUR) was 47,8% which offers a moderate return for investors for risk taking (See Appendix, p.…

    • 1036 Words
    • 5 Pages
    Good Essays
  • Satisfactory Essays

    Matt Allan

    • 955 Words
    • 4 Pages

    A book written to relate the Christian attitude on cultural matters with societies perspective, “A Sneaking Suspicion”. Written by John Dickson, a theological historian from Sydney’s suburbs attempts to contrast cultural experiences - including relationships, sex, meaning - with the Christian view inspired by Jesus death as our substitute. These areas are the major focal points throughout the book and are addressed in three main sections. The first called “Some Sneaking Suspicions” expresses how sex and beauty can be in conjunction with God’s rules and meaning for our life. However, “Some Nagging Doubts”, the second chapter, concludes having addressed many objections one may have with the Christian faith; more popular doubts being suffering and science. In contrast, the third chapter moves into a gospel centred preach where John proclaims “The Guts of it All” presented in the bible. Further, the book culminates with the application: a chance to turn to Jesus as a result of his sacrifice for us. Therefore, we can see that as the book progresses, we see Dickson draw links between societal topics and its impact on one’s life through a Christian frame of mind.…

    • 955 Words
    • 4 Pages
    Satisfactory Essays
  • Good Essays

    (b) What is the expected return on equity of DBT? Which company is riskier and why?…

    • 1459 Words
    • 6 Pages
    Good Essays
  • Powerful Essays

    arthur ashe

    • 5507 Words
    • 23 Pages

    There have been many American athletes that have participated in the political, social and economic realms of our society. Athletes such as Bill Bradley, Jim Ryun, J. C. Watts, Steve Largent and David Bing went on to become elected officials (Thomas). There are others that have attempted to advocate justice within their respective sport. Establishing foundations and programs that address different social problems and offer mentoring and education along with other foundations that help raise money for various causes. Arthur Ashe was not only one of the best tennis players in the history of the game, but he was also a very big figure in social and political movements. He was involved with a number of protest actions that have been praised and criticized (Thomas). He raised funds for the United Negro College Fund and gathered donations for the Arthur Ashe Foundation for the fight against AIDS. He also helped establish numerous educational organizations. The ABC Tennis Program ran four tennis centers in the inner city communities, and the Athlete-Career Connection worked to improve graduation rates among minority athletes were just a couple of these organizations that he helped establish (Thomas). Arthur Ashe admitted that he was involved with so many different social and political causes that it had a negative impact on his performance on the tennis court. Despite all of the hard work that Arthur Ashe did, he felt that many African- Americans had openly wondered about where his racial allegiances were held. He was really offended that he had to respond to what he called ‘some stereotypical, preconceived notion’ of how he was to act, speak and think under the threat of ‘ostracism or at the very least criticism’ (Thomas). Ashe believed that he should not be resented for behaving in such a way that was not typically how African-Americans acted. In an interview with Black Sports…

    • 5507 Words
    • 23 Pages
    Powerful Essays
  • Satisfactory Essays

    riskiness to stockholders. This can be seen by the fact that variability of ROE is greater when…

    • 252 Words
    • 2 Pages
    Satisfactory Essays
  • Satisfactory Essays

    Fin 534 Chapter 12-23

    • 269 Words
    • 2 Pages

    in comparison to the S&P 500, and estimate an equity beta of 1.33. Given this information,…

    • 269 Words
    • 2 Pages
    Satisfactory Essays