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1 - Jessie bought 5 0 0 shares of Ford on january 1 st and enrolled in the DRIP program. Ford paid a dividend of
Jessie bought shares of Ford on january st and enrolled in the DRIP program. Ford paid a dividend of $ per share at the end of that year. Assuming Jessie holds the stock for two additional years, how many shares will jessie own at the end of the third year if Ford stock trades at an average price of $
a
b
c
d
You buy and hold shares of Ford stock on January Ford pays a dividend of per share. You decide to reinvest the dividends in a DRIP. At the end of year one, Ford stock trades at $ per share. How many shares of Ford can you buy with the dividend?
a
b
c
d
An analysis is reviewing two stocks in a small portfolio that include Kellogg Company the cereal company and Exxon
the oil company After completing a regression analysis the correlation is computed at This means:
a these two stocks are positively correlated
bthese two stocks are negatively correlated and will move opposite each other
cthese two stocks have no correlation so there is no pattern that they move together or against each other
dnone of these
Lenny after studying the income statement & cash flow statement of four technology companies, decides that his best option for the long term is T Mobile stock. What type of analysis did Lenny engage in
aFundamental analysis
btechnical analysis
cbehavioral analysis
dnone of these
Henry worked in a bank for over years and, because of his experience, he only likes to invest in bank stocks. of Henry's portfolio is in the stocks Citigroup, JP Morgan Chase, GoldmanSachs,and Barclays Bank, while is in technology stocks, mostly Apple, What kind of risk is Henry exposed to
aIdiosyncratic risk
bsystematic risk
ctechnical risk
dboth idiosyncratic risk and systematic risk
AT&T reported days to cover is this means:
a short sellers believe AT&T stock will decrease in price
bshort sellers believe AT&T stock will increase in price
cthe average number of days a person buys and holds AT&T stock is days
dnone of these
The fact that retail industry stocks stocks like Macy's, The Gap, Footlocker,etc were heavily sold in recent months due to fears that Amazon would dominate with online ordering would expose investors in stocks like Macy's, Gap, and Footlocker to what type of risk?
abehaviorist risk
bmarket risk
cIdiosyncratic risk
dtechnical risk
Use of the dividend discount model DDM AND THE DISCOUNTED CASH FLOW MODEL DCF are examples of which type of stock valuation?
arelative
babsolute
ccomparative analysis
dIntrinsic Value
Nancy is trying to create a portfolio of two stocks that would move with the overall market. The four stocks and their correponding Betas are as follow:
Apple Beta :
AT&T:
Salesforce:
Con Edison:
move closely with the overall market?
aportfolio of Salesforce & AT&T
BPortfolio of AT&T and Con Edison
cportfolio of Salesforce & Con Edison
dportfolio of Salesforce and Apple
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