Amazon.com Incorporated reported the following stock price at the beginning of each year since 2012. Using 2012 as the base year, develop a simple index for stock prices. Year 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 Stock Price to Open Year $ 175.89 256.08 398.80 312.58 656.29 757.92 1,172.00 1,465.20 1,875.00 3,270.00 Click here for the Excel Data File What is the percentage increase in price over the 10-year period? Note: Round your answers to 2 decimal places.
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- The following stock price information has been collected for stock XYZ: \table[[End of year,Closing price],[2023,$127Stocks A and B have the following historical returns:YearStock A's Returns, raStock B's Returns, ra2016(18.60%)(14.50%)201734.2520.40201814.7539.902019(1.00)(9.70)202026.7520.05a. Calculate the average rate of return for each stock during the period 2016 through 2020. Round your answers to two decimal places.Stock A:11.23%Stock B:11.23%b. Assume that someone held a portfolio consisting of 50% of Stock A and 50% of Stock B. What would the realized rate of return on the portfolio have been each year? Round your answers to two decimal places. Negative values should be indicated by a minus sign.YearPortfolio2016-16.55%201727.33201827.33%2019-5.35202023.40What would the average return on the portfolio have been during this period? Round your answer to two decimal places.11.23c. Calculate the standard deviation of returns for each stock and for the portfolio. Round your answers to two decimal places.Stock AStock BPortfolioStandard Deviationd. Calculate the coefficient of variation for each…You bought a stock on 1 January 2018 for $135.5 and below are the year-end price data and annual dividends for the stock: Date Closing Price Annual Dividend 31 December 2017 135.5 3.6 31 December 2018 138.2 3.65 31 December 2019 136.8 3.5 31 December 2020 140.7 3.7 What is the standard deviation of returns on this stock over the 2018-2020 period? 0.0173 0.0005 0.0009 0.0212 O 0.0303
- calculate the annual hpr and hpy from the daily stock prices below, please show working outs Exchange Date Close Open 11-Mar-2020 142.28 144.54 10-Mar-2020 142.48 144.64 09-Mar-2020 141.58 148.01 06-Mar-2020 158.01 156.80 05-Mar-2020 161.57 170.47 04-Mar-2020 169.06 171.82 03-Mar-2020 171.27 176.60 02-Mar-2020 173.33 182.78 28-Feb-2020 179.51 179.86 27-Feb-2020 184.28 191.12 26-Feb-2020 193.98 195.24 25-Feb-2020 196.04 202.37 24-Feb-2020 198.70 200.91 21-Feb-2020 205.08 207.29 20-Feb-2020 208.70 205.58 19-Feb-2020 206.99 208.90 18-Feb-2020 207.90 208.20 17-Feb-2020 210.01 212.02 14-Feb-2020 214.13 227.59 13-Feb-2020 229.80 229.00 12-Feb-2020 229.10 224.58 11-Feb-2020 223.57 227.09 10-Feb-2020 222.57 221.76 07-Feb-2020 223.97 225.08 06-Feb-2020 225.78 225.28 05-Feb-2020 222.67 223.07 04-Feb-2020 223.07 219.95 03-Feb-2020 218.14 216.64 31-Jan-2020 219.35 224.37 30-Jan-2020 222.57 219.65 29-Jan-2020 221.96 219.85…Directions: Compute the returns, average of returns and standard deviation of the following stocks and the PSEI. 1. 2. AGI SM Year Stock Return x x (x--x)² Year Stock Return x x (x-x)² Price Price 30/1/2014 27.100 30/1/2014 704.500 28/2/2014 30.000 28/2/2014 694.000 31/3/2014 28.500 31/3/2014 705.000 30/4/2014 31.150 30/4/2014 725.000 30/5/2014 29.650 30/5/2014 786.000 30/6/2014 29.100 30/6/2014 816.000 31/7/2014 26.350 31/7/2014 797.000 29/8/2014 24.600 29/8/2014 772.000 30/9/2014 26.000 30/9/2014 803.500 31/10/2014 25.300 31/10/2014 783.500 28/11/2014 24.800 28/11/2014 804.500 29/12/2014 22.550 29/12/2014 815.000 PSEI Year Stock Return x X (x-X)? 30/6/2014 6,844.31 Price 31/7/2014 6,864.82 30/1/2014 6,041.19 29/8/2014 7,050.89 3. 28/2/2014 6,424.99 30/9/2014 7,283.07 31/10/2014 7,215.73 31/3/2014 6,428.71 28/11/2014 7,294.38 30/4/2014 6,707.91 29/12/2014 7,230.57 30/5/2014 6,647.65You are given the following information regarding prices for a sample of stocks. PRICE PER SHARE Stock Number of Shares Jan December Honda 20 000 170 200 Nissan 40 000 130 155 Toyota 90 000 138 145 i.) Construct a price-weighted index for these three stocks for January and December ii.) Construct a value weighted index for the securities above for January and December iii) Construct an equal-weighted index by assuming $1,000 is invested in each stock. What is the percentage change in wealth for this portfolio?
- Based on the following stock price and shares outstanding information, compute the beginning and ending values for a price-weighted index and a market-value-weighted index. December 31, 2018 December 31, 2019 Price Shares Shares Outstanding Price Outstanding Stock K 20 100,000 32 100,000 Stock M 80 2,000 45 4,000* Stock R 40 25,000 42 25,000*Stock split two-for-one during the year. Base index 100a. Compute the percentage change in the value of each index and the new during the year b.…Assume these are the stock market and Treasury bill returns for a 5-year period in the attached image: A. What was the risk premium on common stock in each year? (Do not round intermediate calculations. Enter your answers as a percent rounded to 2 decimal places.) Risk Premium 2013 % 2014 % 2015 % 2016 % 2017 % b. What was the average risk premium? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places.) c. What was the standard deviation of the risk premium? (Ignore that the estimation is from a sample of data.) (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places.)Stocks A and B have the following historical returns: Year 2016 2017 2018 2019 2020 Stock A's Returns, ra (15.40%) 29.00 14.25 (5.00) 26.00 Stock B's Returns, ra (15.80%) 21.10 37.30 (6.20) 12.45 a. Calculate the average rate of return for each stock during the period 2016 through 2020. Round your answers to two decimal places. Stock A: Stock B: b. Assume that someone held a portfolio consisting of 50% of Stock A and 50% of Stock B. What would the realized rate of return on the portfolio have been each year Round your answers to two decimal places. Negative values should be indicated by a minus sign. Portfolio CV Year 2016 2017 2018 2019 2020 What would the average return on the portfolio have been during this period? Round your answer to two decimal places. % % % c. Calculate the standard deviation of returns for each stock and for the portfolio. Round your answers to two decimal places. Stock A Stock B Portfolio Standard Deviation d. Calculate the coefficient of variation for each…
- Stocks A and B have the following historical returns: Year Stock A's Returns, rA Stock B's Returns, rA 2014 (19.00 (14.70 %) 2015 34.75 19.50 2016 13.75 30.90 2017 (4.25 (9.30 ) 2018 34.25 33.10 Calculate the average rate of return for each stock during the period 2014 through 2018. Round your answers to two decimal places. Stock A: % Stock B: % Assume that someone held a portfolio consisting of 50% of Stock A and 50% of Stock B. What would the realized rate of return on the portfolio have been each year? Round your answers to two decimal places. Negative values should be indicated by a minus sign. Year Portfolio 2014 % 2015 % 2016 % 2017 % 2018 % What would the average return on the portfolio have been during this period? Round your answer to two decimal places. % Calculate the standard deviation of returns for each stock and for the portfolio. Round your answers to two decimal places. Stock A Stock B Portfolio…Assume these are the stock market and Treasury bill returns for a 5-year period: Year Stock Market Return (%) T-Bill Return (%) 2013 35.90 0.21 2014 15.20 0.21 2015 -5.10 0.21 2016 16.90 0.08 2017 25.90 0.10 a. What was the risk premium on common stock in each year? (Do not round intermediate calculations. Enter your answers as a percent rounded to 2 decimal places.) Year Risk Premium 2013 % 2014 % 2015 % 2016 % 2017 % b. What was the average risk premium? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places.) c. What was the standard deviation of the risk premium? (Ignore that the estimation is from a sample of data.) (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places.)The following table lists the closing levels of the S&P 500 Index and the share price of Amazon stock. Year 2017 2018 2019 2020 2021 Relative Return S&P 500 Index 2043.94 % 2238.83 2673.61 2506.85 3230.78 AMZNt AMZNt-1 What was the lowest annual return to two decimal points. The annual return of AMZN relative to the S&P 500 Index can be expressed using the formula: AMZN S&P 500 t S&P 500 t-1 675.89 768.66 1169.47 1501.97 1847.84 AMZN relative to the S&P 500 Index from 2018 to 2021? Round your answer