Deck 6: The Risks and Returns From Investing

ملء الشاشة (f)
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سؤال
If a U.S.investor buys foreign stock,his dollar-denominated return will increase if the dollar:

A)appreciates in value.
B)depreciates in value.
C)remains unchanged.
D)moves to a net gain position.
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سؤال
The best return measure to use if you are trying to measure the total effect of returns over time given some stated beginning amount is the:

A)total return
B)return relative
C)cumulative wealth index
D)total yield
سؤال
If interest rates rose,you would expect ------------ to also rise.

A)business risk
B)financial risk
C)liquidity risk
D)inflation risk
سؤال
If interest rates are expected to rise,you would expect:

A)bond prices to fall more than stock prices
B)bond prices to rise more than stock prices
C)stock prices to fall more than bond prices
D)stock prices to rise and bond prices to fall
سؤال
A major difference between real and nominal returns is that:

A)real returns adjust for inflation and nominal returns do not
B)real returns use actual cashflows and nominal returns use expected cashflows
C)real returns adjust for commissions and nominal returns do not
D)real returns show the highest possible return and nominal returns show the lowest possible return
سؤال
Political stability is the major factor concerning:

A)exchange-rate risk
B)systematic risk
C)nonsystematic risk
D)country risk
سؤال
If the Dow Jones Industrials had a price appreciation of 6 percent one year and yet total return for the year was 9 percent,the difference would be due to:

A)the tax treatment of capital gains.
B)the cumulative wealth effect.
C)dividends.
D)profits.
سؤال
The recent housing bubble and resulting credit crisis of 2008 is a perfect example of:

A)nonsystematic risk
B)systematic risk
C)inflation risk
D)political risk
سؤال
Total return is equal to:

A)capital gain + price change.
B)yield + income.
C)capital gain - loss.
D)yield + price change.
سؤال
The return relative solves the problem of:

A)inflation b negative returns
C)interest rates
D)tax differences
سؤال
New financial disclosure regulations affecting the brokerage industry are a type of:

A)market risk
B)financial risk
C)business risk
D)liquidity risk
سؤال
In order to determine the compound growth rate of an investment over some period,an investor would calculate the:

A)arithmetic mean
B)geometric mean
C)calculus mean
D)arithmetic median
سؤال
Investors should be willing to invest in riskier investments only:

A)if the term is short
B)if there are no safe alternatives except for holding cash
C)if the expected return is adequate for the risk level
D)if they are true speculators
سؤال
An impending recession is an example of:

A)interest rate risk
B)inflation risk
C)market risk
D)financial risk
سؤال
Liquidity risk:

A)is the risk that investment bankers normally face
B)is lower for small OTC stocks than for large NYSE stocks
C)is a risk associated with secondary market transactions
D)increases whenever interest rates increase
سؤال
All of the following represent the yield component of total return EXCEPT:

A)Dividend payment on common stock
B)Coupon interest payment on bonds
C)Capital gain upon sale of stock
D)Dividend payment on preferred stock
سؤال
The ----------- is 1 plus the total return.

A)arithmetic mean
B)return relative
C)cumulative wealth index
D)geometric mean
سؤال
Which of the following is true regarding the cumulative wealth index? It:

A)is measured by adding up the total returns over the holding period and dividing by the investment
B)uses a beginning index value (often set to $1 but it can be set to any amount)
C)is the present value of the future cash flows expected from the investment
D)uses the arithmetic mean as the rate of growth of one's wealth
سؤال
Financial risk is most associated with:

A)the use of equity financing by corporations
B)the use of debt financing by corporations
C)equity investments held by corporations
D)debt investments held by corporations
سؤال
Total return as defined in the text is:

A)the difference between the sale price and the purchase price of an investment.
B)measured by dividing the sum of all cash flows received by the amount invested.
C)the reciprocal of a return relative.
D)measured by dividing all cash flows received by its selling price.
سؤال
Bond prices and interest rates are inversely related.
سؤال
Over the period 1926-2007,which of the following financial assets showed the greatest amount of price volatility,as measured by standard deviation?

A)Small-cap stocks
B)Large-cap stocks
C)Treasury bonds
D)Treasury bills
سؤال
Which of the following statements concerning the equity risk premium is true?

A)Some scholars think it is too low
B)There is no direct way to measure it
C)It predicts high future returns on stocks
D)It is expected to increase in the future
سؤال
The less the variability of return,the greater the risk.
سؤال
A number of prominent observers expect the equity risk premium in the future to be:

A)Considerably lower than that of the past
B)Considerably higher than that of the past
C)Very similar to the historical average
D)No change is expected from recent years
سؤال
If you invest in German bonds and the Euro becomes stronger during your holding period,then:

A)you will be able to buy back fewer dollars when you redeem your bond or it matures
B)your dollar-denominated return will increase
C)your-dollar denominated return will decrease
D)your return will be the interest you receive
سؤال
The standard deviation measures:

A)systematic risk of a security.
B)unsystematic risk of a security.
C)total risk of a security.
D)the equity risk premium.
سؤال
A Chinese stock denominated in Chinese yuan will have an increase in its dollar-denominated return if the Chinese yuan strengthens against the dollar.
سؤال
Another name for a capital gain is yield.
سؤال
Which of the following statements regarding the arithmetic mean and the geometric mean is true?

A)The arithmetic mean is always a better measure of average performance
B)The geometric mean is always a better measure of average performance
C)The arithmetic mean is a better measure of performance over single periods
D)The geometric mean is the best estimate of the expected return for the next period
سؤال
New regulations concerning auto emissions would be a type of market risk for the auto industry.
سؤال
It is generally easier to predict interest rate risk than market risk.
سؤال
Holding interest rates constant,a narrowing of the equity risk premium implies a decline in the rate of return on stocks because the amount earned beyond the risk-free rate is reduced.
سؤال
As the dollar falls,

A)foreign investors owning U.S.stocks suffer.
B)U.S.investors owning U.S.stocks suffer.
C)U.S.investors owning foreign stocks suffer.
D)foreign investors owning foreign stocks suffer.
سؤال
Present value is based on the concept of:

A)compounding
B)systematic risk
C)duration
D)discounting
سؤال
When most people refer to mean rate of return,they are referring to the:

A)holding period rate of return
B)arithmetic average rate of return
C)geometric average rate of return
D)cumulative average rate of return
سؤال
The equity risk premium is:

A)the difference between the expected return on stocks and bonds
B)the difference between the expected return on high-grade stocks and low-grade stocks
C)the difference between the expected return on stocks and the risk-free rate
D)the difference between the expected return on a stock market index and the inflation rate
سؤال
Return and risk are inversely related.
سؤال
International mutual funds offer investors global diversification without exchange rate risk.
سؤال
The most common measure of inflation is the Producer Price Index.
سؤال
What common variable is used in the calculation of both the cumulative wealth index and the geometric mean return? How is the common variable calculated? How is it used in each?
سؤال
What is the present value of $20,000 to be received in 40 years if the interest rate is 9 percent?
سؤال
Calculate the future value of $100,000 at the end of 64 years given an interest rate of 10.38 percent.
سؤال
What is the major drawback of the total return measure? Why is it the most common return calculation used by investors?
سؤال
What was the effect on foreign investors owning U.S.stocks when the dollar fell in 2002?
سؤال
John Crossborder buys 1 share of Telmex at 140 pesos when the value of the peso is stated in dollars at $0.35.One year later,Telmex is selling for 155 pesos and paid a dividend of 5 pesos during the year.If after 1 year the value of the pesos is $0.29,what will John's rate of return be in U.S.dollars?
سؤال
Both present value and future value are based upon the concept of the time value of money.
سؤال
The S&P 500 showed the following TRs for a 6 year period: 11.1 percent,-5.2 percent,20.3 percent,26.7 percent,-12.4 percent,and 2.2 percent.
(a)Calculate the arithmetic mean return for the 6 year period.
(b)Calculate the geometric mean return for the 6 year period.
سؤال
If you deposit $1,000 today at 12 percent,how much will you have in 10 years?
سؤال
Assume you are a U.S.citizen who purchases $20,000 worth of bonds of the Deep Shaft Mining Company in Kenya.What sources of risk can you identify with this investment?
سؤال
The returns and risk measures on this chapter are calculated from historical data.Are such measures good predictors of the future? What are some circumstances that could change to change future return and risk? How can an investor use these return and risk measures to help construct a portfolio?
سؤال
When should an investor use the arithmetic mean return? The geometric mean return?
سؤال
The standard deviation of returns,calculated as the square root of the variance of returns,is a measure of total risk of an asset or portfolio.
سؤال
What is the best measure of risk for returns of a sole proprietorship?
سؤال
A stock is purchased for $50 on January 1 and sold on December 31 for $72.A $5.00 per share dividend is paid during the year.
(a)Calculate the TR.
(b)Calculate the RR.
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ملء الشاشة (f)
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Deck 6: The Risks and Returns From Investing
1
If a U.S.investor buys foreign stock,his dollar-denominated return will increase if the dollar:

A)appreciates in value.
B)depreciates in value.
C)remains unchanged.
D)moves to a net gain position.
B
2
The best return measure to use if you are trying to measure the total effect of returns over time given some stated beginning amount is the:

A)total return
B)return relative
C)cumulative wealth index
D)total yield
A
3
If interest rates rose,you would expect ------------ to also rise.

A)business risk
B)financial risk
C)liquidity risk
D)inflation risk
D
4
If interest rates are expected to rise,you would expect:

A)bond prices to fall more than stock prices
B)bond prices to rise more than stock prices
C)stock prices to fall more than bond prices
D)stock prices to rise and bond prices to fall
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5
A major difference between real and nominal returns is that:

A)real returns adjust for inflation and nominal returns do not
B)real returns use actual cashflows and nominal returns use expected cashflows
C)real returns adjust for commissions and nominal returns do not
D)real returns show the highest possible return and nominal returns show the lowest possible return
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6
Political stability is the major factor concerning:

A)exchange-rate risk
B)systematic risk
C)nonsystematic risk
D)country risk
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7
If the Dow Jones Industrials had a price appreciation of 6 percent one year and yet total return for the year was 9 percent,the difference would be due to:

A)the tax treatment of capital gains.
B)the cumulative wealth effect.
C)dividends.
D)profits.
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8
The recent housing bubble and resulting credit crisis of 2008 is a perfect example of:

A)nonsystematic risk
B)systematic risk
C)inflation risk
D)political risk
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9
Total return is equal to:

A)capital gain + price change.
B)yield + income.
C)capital gain - loss.
D)yield + price change.
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10
The return relative solves the problem of:

A)inflation b negative returns
C)interest rates
D)tax differences
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11
New financial disclosure regulations affecting the brokerage industry are a type of:

A)market risk
B)financial risk
C)business risk
D)liquidity risk
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12
In order to determine the compound growth rate of an investment over some period,an investor would calculate the:

A)arithmetic mean
B)geometric mean
C)calculus mean
D)arithmetic median
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13
Investors should be willing to invest in riskier investments only:

A)if the term is short
B)if there are no safe alternatives except for holding cash
C)if the expected return is adequate for the risk level
D)if they are true speculators
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14
An impending recession is an example of:

A)interest rate risk
B)inflation risk
C)market risk
D)financial risk
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15
Liquidity risk:

A)is the risk that investment bankers normally face
B)is lower for small OTC stocks than for large NYSE stocks
C)is a risk associated with secondary market transactions
D)increases whenever interest rates increase
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16
All of the following represent the yield component of total return EXCEPT:

A)Dividend payment on common stock
B)Coupon interest payment on bonds
C)Capital gain upon sale of stock
D)Dividend payment on preferred stock
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17
The ----------- is 1 plus the total return.

A)arithmetic mean
B)return relative
C)cumulative wealth index
D)geometric mean
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18
Which of the following is true regarding the cumulative wealth index? It:

A)is measured by adding up the total returns over the holding period and dividing by the investment
B)uses a beginning index value (often set to $1 but it can be set to any amount)
C)is the present value of the future cash flows expected from the investment
D)uses the arithmetic mean as the rate of growth of one's wealth
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19
Financial risk is most associated with:

A)the use of equity financing by corporations
B)the use of debt financing by corporations
C)equity investments held by corporations
D)debt investments held by corporations
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20
Total return as defined in the text is:

A)the difference between the sale price and the purchase price of an investment.
B)measured by dividing the sum of all cash flows received by the amount invested.
C)the reciprocal of a return relative.
D)measured by dividing all cash flows received by its selling price.
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21
Bond prices and interest rates are inversely related.
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22
Over the period 1926-2007,which of the following financial assets showed the greatest amount of price volatility,as measured by standard deviation?

A)Small-cap stocks
B)Large-cap stocks
C)Treasury bonds
D)Treasury bills
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23
Which of the following statements concerning the equity risk premium is true?

A)Some scholars think it is too low
B)There is no direct way to measure it
C)It predicts high future returns on stocks
D)It is expected to increase in the future
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24
The less the variability of return,the greater the risk.
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25
A number of prominent observers expect the equity risk premium in the future to be:

A)Considerably lower than that of the past
B)Considerably higher than that of the past
C)Very similar to the historical average
D)No change is expected from recent years
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26
If you invest in German bonds and the Euro becomes stronger during your holding period,then:

A)you will be able to buy back fewer dollars when you redeem your bond or it matures
B)your dollar-denominated return will increase
C)your-dollar denominated return will decrease
D)your return will be the interest you receive
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27
The standard deviation measures:

A)systematic risk of a security.
B)unsystematic risk of a security.
C)total risk of a security.
D)the equity risk premium.
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28
A Chinese stock denominated in Chinese yuan will have an increase in its dollar-denominated return if the Chinese yuan strengthens against the dollar.
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29
Another name for a capital gain is yield.
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30
Which of the following statements regarding the arithmetic mean and the geometric mean is true?

A)The arithmetic mean is always a better measure of average performance
B)The geometric mean is always a better measure of average performance
C)The arithmetic mean is a better measure of performance over single periods
D)The geometric mean is the best estimate of the expected return for the next period
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31
New regulations concerning auto emissions would be a type of market risk for the auto industry.
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32
It is generally easier to predict interest rate risk than market risk.
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33
Holding interest rates constant,a narrowing of the equity risk premium implies a decline in the rate of return on stocks because the amount earned beyond the risk-free rate is reduced.
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34
As the dollar falls,

A)foreign investors owning U.S.stocks suffer.
B)U.S.investors owning U.S.stocks suffer.
C)U.S.investors owning foreign stocks suffer.
D)foreign investors owning foreign stocks suffer.
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35
Present value is based on the concept of:

A)compounding
B)systematic risk
C)duration
D)discounting
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36
When most people refer to mean rate of return,they are referring to the:

A)holding period rate of return
B)arithmetic average rate of return
C)geometric average rate of return
D)cumulative average rate of return
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37
The equity risk premium is:

A)the difference between the expected return on stocks and bonds
B)the difference between the expected return on high-grade stocks and low-grade stocks
C)the difference between the expected return on stocks and the risk-free rate
D)the difference between the expected return on a stock market index and the inflation rate
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38
Return and risk are inversely related.
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39
International mutual funds offer investors global diversification without exchange rate risk.
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40
The most common measure of inflation is the Producer Price Index.
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41
What common variable is used in the calculation of both the cumulative wealth index and the geometric mean return? How is the common variable calculated? How is it used in each?
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42
What is the present value of $20,000 to be received in 40 years if the interest rate is 9 percent?
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43
Calculate the future value of $100,000 at the end of 64 years given an interest rate of 10.38 percent.
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44
What is the major drawback of the total return measure? Why is it the most common return calculation used by investors?
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45
What was the effect on foreign investors owning U.S.stocks when the dollar fell in 2002?
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46
John Crossborder buys 1 share of Telmex at 140 pesos when the value of the peso is stated in dollars at $0.35.One year later,Telmex is selling for 155 pesos and paid a dividend of 5 pesos during the year.If after 1 year the value of the pesos is $0.29,what will John's rate of return be in U.S.dollars?
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47
Both present value and future value are based upon the concept of the time value of money.
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48
The S&P 500 showed the following TRs for a 6 year period: 11.1 percent,-5.2 percent,20.3 percent,26.7 percent,-12.4 percent,and 2.2 percent.
(a)Calculate the arithmetic mean return for the 6 year period.
(b)Calculate the geometric mean return for the 6 year period.
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49
If you deposit $1,000 today at 12 percent,how much will you have in 10 years?
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50
Assume you are a U.S.citizen who purchases $20,000 worth of bonds of the Deep Shaft Mining Company in Kenya.What sources of risk can you identify with this investment?
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51
The returns and risk measures on this chapter are calculated from historical data.Are such measures good predictors of the future? What are some circumstances that could change to change future return and risk? How can an investor use these return and risk measures to help construct a portfolio?
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52
When should an investor use the arithmetic mean return? The geometric mean return?
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53
The standard deviation of returns,calculated as the square root of the variance of returns,is a measure of total risk of an asset or portfolio.
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54
What is the best measure of risk for returns of a sole proprietorship?
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55
A stock is purchased for $50 on January 1 and sold on December 31 for $72.A $5.00 per share dividend is paid during the year.
(a)Calculate the TR.
(b)Calculate the RR.
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