Answer: 1. For a stock, there are two essential parameters namely risk and return. The underlying movements in the share return is captured by the underlying standard deviation which tends to highlight the dispersion of the return values with mean return as the reference point. As a result, higher standard deviation is indicative of the higher dispersion which would translate into higher risk for the share. The concept of standard devia...Read More >>
Answer: Introduction A key parameter of a share is the underlying risk which essentially is an indicator of the volatility in prices. The appropriate measure in this regards would be the standard deviation. This is essentially used to capture the dispersion of the stock returns about the average stock returns during a given period. Higher the standard deviation i.e. deviation from the mean, higher would be the risk associated with the underly...Read More >>
Answer: The risk of the shares is detected adequately with the help of standard deviation, as it evaluates the level of volatility, which can be detected for an investment. The standard deviation measures the variation in the mean returns of the stock, which can help in detecting the volatility present within the share price movement. The generate assumption for the shares is n...Read More >>
Answer: Standard deviation is a measurement of the risk. It evaluates the changes in the stock price of an organization and makes the decision about the long term performance of the company. The standard deviation outcome is plotted on a graph by the analyst to identify the changes and the performance of the stock of the company which is called “distribution curve”. It makes it easier for the analyst to identify the changes in the ...Read More >>
Answer: The part of the business plan will be dealing with the financial aspects which will be associated with the hotel business which will be established. The financial plan of the business will be discussing the financing requirements of the business on both long-term basis and quarterly basis. The financial plan is necessary so that the management can effectively decide from which sources the capital will drawn for the business as well the...Read More >>
Answer: A risk free asset has a standard deviation of 0. Furthermore, the correlation between any risky asset and risk free asset is zero.Therefore, if a risk free asset is added to a portfolio of two assets, then the portfolio’s standard deviation would be in a linear proportion to the risky asset’s standard deviation. Hence, the inclusion of a risk free asset will have the effect of reducing the standard deviation. σ2 ...Read More >>
Answer: Answer 1 The assessment of potential investment planning process involves the different types of capital budgeting and investment appraisal techniques. The incorporation of such techniques plays a pivotal role in deterring the long- term investment decisions. Some of these are seen in form of application of the different methods, which is required for replacement of machinery, implementation of a new machinery or introduction of new p...Read More >>
Answer: The service sector and the tertiary sectors employers do not have right to control the decisions of the employees to invest in which type of fund in the matter of superannuation funds. The employees are free to choose the fund as per their choice. The service sectors and tertiary sectors are divided in three types of sectors. Superannuation fund are of two types namely defined benefit plan and investment choice plan. The employees do a...Read More >>
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