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jeka57 [31]
3 years ago
9

Sorry to bother you all with what might seem like a simple conversion problem, but I have tons of HW to do, and math is absolute

ly NOT my area of expertise. So, have at it, you math-wizards.
A full explanation would be greatly appreciated, too.

In 2012, Germans paid 1.65 Euros per liter of Gasoline. At the same time, American prices were $3.90 per gallon.

a. How much would one gallon of European gas have cost in dollars?
b. How much would one liter of American gasoline have cost in Euros?
(one US = 0.76 Euros, 1 gallon = 3.78)
Mathematics
1 answer:
Brut [27]3 years ago
8 0
First, start by transferring a liter to a gallon. 3.78 liters in 1 gallon.
This means they pay 1.65*3.78=6.24 euros per gallon of gasoline. If the conversion is 1 us dollar = .76 euros, set up a proportion where x$=6.24euros.... .76x=6.24.... x=$8.21

Next, do the reverse. One liter is .26 gallons, meaning we pay 3.90*.26=$1.01 for a liter of gas. Convert this back into euros by multiplying it by .76... 0.77 Euros
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3. You are considering three stocks—A, B, and C—for possible inclusion in your investment portfolio. Stock A has a beta of 0.80,
Ainat [17]

Answer:

A) In the short run, the lower the beta, the lower the stock risk.

Stock B (-0.30)

Stock A (0.80)

Stock C (1.40)

But in the long run, since the market tends to have a positive growth rate, a negative beta tends to be more risky. Generally, negative betas are extremely uncommon and only gold related stocks tend to have negative betas. Gold is more secure than currency, so in the short run a negative beta is more secure. But in the long run, gold related stocks yield very low returns, which makes them unfit as a long term investment. Even zero risk portfolios (US treasuries) provide higher yields than gold in the long run.

b. If the return on the market portfolio increased by 12%, what change would you expect in the return for each of the stocks?

Stock B's return would decrease by -0.30 x 12% = -3.6%

Stock A's return would increase by 0.8 x 12% = 9.6%

Stock C's return would increase by 1.40 x 12% = 16.8%

c. If the return on the market portfolio decreased by 5%, what change would you expect in the return for each of the stocks?

Stock B's return would increase by -0.30 x -5% = 1.5%

Stock A's return would decrease by 0.8 x -5% = -4%

Stock C's return would decrease by 1.40 x -5% = -7%

d. If you believed that the stock market was getting ready to experience a significant decline, which stock would you probably add to your portfolio? Why?

Stock B, since its beta is negative, as the market declines, you can earn higher yields. E.g. every time the economy is in recession, gold related stocks increase their value.

e. If you anticipated a major stock market demand, which stock would you add to your portfolio? Why?

Stock C, since it has the highest beta which makes it the most risky but also yields higher results when the stock market is rising.

3 0
3 years ago
Find the coordinates of the missing endpoint if m is the midpoint of AB.
Ne4ueva [31]
E because its not on there
7 0
4 years ago
E : f = 2 : 3 and f : g = 7 : 8 Work out e : g Give your answer in its simplest form.​
stiv31 [10]

Answer:

e : g = 7:9

Step-by-step explanation:

Given:

e : f = 2 : 3

f : g = 7 : 8

Find:

e : g

Computation:

(e/f) x (f/g) = (2/3)(7/8)

e/g = 7/9

e : g = 7:9

3 0
3 years ago
<img src="https://tex.z-dn.net/?f=%284y%20%2B%204x%29%20%3D%20" id="TexFormula1" title="(4y + 4x) = " alt="(4y + 4x) = " align="
Semmy [17]
<span> Simplifying
4x + 4y = 0

 Solving
4x + 4y = 0

 Solving for variable 'x'.
 Move all terms containing x to the left, all other terms to the right.

 Add '-4y' to each side of the equation.
4x + 4y + -4y = 0 + -4y

 Combine like terms:
4y + -4y = 0
4x + 0 = 0 + -4y
4x = 0 + -4y

 Remove the zero:
4x = -4y

 Divide each side by '4'.
x = -1y

 Simplifying
x = -1y</span>
8 0
4 years ago
Saturn has a mass that is approximately ___ times greater than Venus
tamaranim1 [39]

the answer is a I think

5 0
3 years ago
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