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LekaFEV [45]
3 years ago
10

Question 2 of 10

Mathematics
2 answers:
nadya68 [22]3 years ago
8 0
A. 4
Solve for x, because ML = MN because of the triangle being isosceles

rusak2 [61]3 years ago
4 0

Answer:

4

Step-by-step explanation:

Since the base angles are the same, the side have to be the same

ML = MN

4x = x+3

Subtract x from each side

4x-x = x+3-x

3x= 3

Divide by 3

3x/3 = 3/3

x = 1

We want the length of MN

MN = x+3 = 1+3 = 4

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3 years ago
Rachel is a financial investor who actively buys and sells in the securities market. Now she has a portfolio of all blue chips,
Arturiano [62]

Answer:

(a) 41300 (b) 8.10 % (c) 3.41% (at real rates)

Step-by-step explanation:

Solution

Given:

(a) The  Weights of assets in Rachel's portfolio: = amount in each stock/ sum of amounts invested in all stocks

Share Amount Weights

A 13500 0.33

B 7600 0.18

C 14700 0.36

D 5500 0.13

THE TOTAL: 41300

(b) The Geometric average return of a portfolio = ((1+R1)*(1+R2)*(1+R3)....*(1+Rn))^(1/n) - 1

Now,

R1= return of period 1 Rn= return in nth period

Thus,

The Geometric average return of Rachel's portfolio= ((1+9.7%)*(1+12.4%)*(1-5.5%)*(1+17.2%))^(1/4) - 1

= 8.10 % (approx) per year.

(c) Using nominal rate of return (including inflation):

The CAPM: Required return= Risk free return + (Risk premium * Beta)

13.6 = Rf + (4.8*1.5)

So,

Rf= 6.4% (not inflation adjusted)

The inflation adjusted rate of return: ((1+return)/(1+inflation rate))-1

= ((1+13.6%)/(1+2.7%))-1  = 10.61%

Using CAPM: 10.61= Rf + (4.8*1.5)

Therefore, Rf= 3.41% (at real rates)

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3 years ago
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Answer:

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Step-by-step explanation:

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Answer:

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2 years ago
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