How good is at t stock

    • [DOC File]Answers to the questions/problems recommended in the ...

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      7. Again using the optimal portfolio of AT&T and Microsoft stock when the correlation of their price movements is 0.5, take $ 10,000 and determine the allocations among the riskless asset, AT&T stock, and Microsoft stock for: a portfolio which invests 75% in a money market fund and 25% in the portfolio of AT&T and Microsoft stock.

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    • Questions and Answers - AT&T

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    • [DOC File]Soln ch 2 Mkts & Inst

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      At t = 0, the value of the index is: (90 + 50 + 100)/3 = 80. At t = 1, the value of the index is: (95 + 45 + 110)/3 = 83.333. The rate of return is: (83.333/80) ( 1 = 4.17%. b. In the absence of a split, Stock C would sell for 110, so the value of the index would be: (95+45+110)/3 = 250/3 = 83.333 with a divisor of 3. After the split, stock C ...

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    • [DOC File]25 Year Analysis of Key Financial Indictors for AT&T ...

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      AT&T's latest merger required the company to have 100% broadband in all states by 2007 and offer $10 DSL to new users. In 1999, AT&T had claimed they would spend $6 billion in 'Project Pronto', while almost every AT&T state had plans for broadband that were cancelled after each merger, including SNET, Pacific Bell and Ameritech.

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    • [DOC File]1) Suppose that your 58 year-old father works for the ...

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      31. Stock X has a standard deviation of return of 10%. Stock Y has a standard deviation of return of 20%. The correlation coefficient between stocks is 0.5. If you invest 60% of the funds in stock X and 40% in stock Y, what is the standard deviation of a portfolio? A) 10% . B) 20% . C) 12.2% . D) 22% . E) None of the above . Answer: C. Type ...

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