NMIMS DEC 2021 CAPITAL MARKET AND PORTFOLIO MANAGEMENT

07 Oct

CAPITAL MARKET AND PORTFOLIO MANAGEMENT

1. From the following information, calculate the volatility of the portfolio and comment on the relationship among the stocks return.

TABLE BELOW

Day Stock A Stock B Stock C
1 0.4 2.2 0.6
2 1.1 1.3 0.5
3 0.9 1.2 1.4
4 1.7 1.9 1.6

 

2. You are a financial advisor at XYZ Stock Broking firm. Calculate the return as per CAPM for following company’s stock, identify whether the stocks are undervalued, overvalued or correctly priced and advise accordingly. Returns of T- Bill is 7%.

Stock Expected Return Beta
Tata 21% 1.7
Adani Power 16% 1.4
Ranbaxy 23% 1.1
PNB 19% 1.2
Sensex 18%

 

3. Sunaina has qualified her Investment Banking certification and has applied for a job with an Investment bank. As a part of preliminary round of interview, she is supposed to answer the following questions.

a. Factors that impacts the investment decisions of a person.

b. Difference between the two main classes of financial instruments that an investor uses in their portfolios.

 

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