Question
Part 1: Understanding Risk & Return Research and select five stocks from different industries. Obtain their annual returns for the last five years and calculate
Part 1: Understanding Risk & Return Research and select five stocks from different industries.
Obtain their annual returns for the last five years and calculate their average annual returns.
Calculate the standard deviation of returns for each stock.
Plot the average returns and standard deviation of returns for each stock on a scatter plot.
Identify which stock has the highest average return and which stock has the lowest standard deviation of returns.
Part 2: Understanding the Security Market Line Research and obtain the risk-free rate of return and the historical returns of a broad market index (e.g., S&P 500) for the last five years.
Calculate the market risk premium by subtracting the risk-free rate of return from the market return.
Calculate the beta for each of the five stocks from Part 1 using the broad market index as the benchmark.
Plot the beta values and expected returns for each stock on a scatter plot.
Draw the security market line using the risk-free rate of return, the market risk premium, and the beta values.
Identify which stock has the highest expected return and which stock has the lowest beta.
Calculate the expected returns for each stock using the security market line. Compare the expected returns to the average returns calculated in Part 1.
Please i want numbers ! thank you
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