FRL 3000 Exam 2 Concepts
FisherCo is intending to invest in a new project. The ________ is the minimum rate of return the firm will accept on this project
Cost of capital
The slope of the security line
market risk premium
Changes in the net working capital requirements
can affect the cash flows of a project every year of the project's life.
The excess return is computed as the
return on a risky security minus the risk free rate
Assume that last year T-bills returned 2.2 percent while your investment in large-company stocks earned an average of 8.1 percent. Which one of the following terms refers to the difference between these two rates of return?
Risk premium
Which of the following statements are accurate? 1.Nondiversifiable risk is measured by beta. 2.The risk premium increases as diversifiable risk increases. 3.Systematic risk is another name for non-diversifiable risk. 4. Diversifiable risks are market risks you cannot avoid.
1 and 3 only
Of the options listed below, which are examples of diversifiable risk? 1. Wildfires damage an entire town 2. The federal government imposes a $1,000 fee on all business entities 3.Payroll taxes are increased nationally 4. All software providers are required to improve their privacy standards
1 and 4 only
Which of the following statements are accurate? 1.Diversifiable risks can be essentially eliminated by investing in 30 unrelated securities. 2. There is no reward for accepting diversifiable risks. 3. Diversifiable risks are generally associated with an individual firm or industry. 4. Beta measures diversifiable risk.
1, 2 and 3 only
Which of the following items are included when calculating the expected return on a portfolio? 1. Percentage of the portfolio invested in each individual security 2. Projected states of the economy 3. The performance of each security given various economic states 4. Probability of occurrence for each state of the economy
1,2,3,4
Which of the following are assumptions of the capital asset pricing model (CAPM)? 1. A risk-free asset has no systematic risk. 2. Beta is a reliable estimate of total risk. 3. The reward-to-risk ratio is constant. 4. The market rate of return can be approximated.
1,3 and 4 only
Three years ago, Bhojani Windows purchased a machine for a three-year project. The machine is being depreciated straight-line to zero over a five-year period. Assume the firm decided to forego any bonus depreciation. Today, the project ended and the machine was sold. Which one of the following correctly defines the aftertax salvage value of that machine? (TC represents the relevant tax rate.)
Sale price + (Book value − Sale price)(TC)
Which of the following statements best describes the principle of diversification?
Spreading investment across many diverse assets will eliminate some of the total risks
___ measures total risk, and ___ measures systematic risk
Standard deviation
Cerda Diagnostics spent $5,000 last week repairing equipment. This week the company is trying to decide whether the equipment could be better utilized by assigning it to a proposed project. When analyzing the proposed project, the $5,000 should be treated as which type of cost?
Sunk costs
Assume the market rate of return is 10.1 percent and the risk-free rate of return is 3.2 percent. Lexant stock has 2 percent less systematic risk than the market and has an actual return of 10.2 percent. This stock:
is underpriced
Incremental cash flows
the difference between a company's future cash flows if it accepts a project and the company's future cash flows if it does not accept the project
Of the options below which is the best example of unsystematic risk?
A national decrease in consumer spending on entertainment
____ measures the amount of systematic risk present in a particularly risky asset relative to the systematic risk present in an average risky asset.
Beta
___ risk is measured during the standard deviation
Total
The most important reason to diversify a portfolio is to
eliminate asset specific risk
Which one of the following types of costs were incurred in the past and cannot be recouped
Sunk costs
The operating cash flow for a project should exclude which one of the following?
Interest expense
The ____ explains the relationship between the expected return on a security and the level of that security's systematic risk
Capital asset pricing model
The market risk premium equals the
market rate of return minus the risk free return rate
Which of the following statements regarding unsystematic risk is accurate?
It can be eliminated by portfolio diversification
Which one of the following best illustrates erosion as it relates to a snack stand located on the beach
Selling fewer cookies because icecream is added to the menu
An investor who owns a well-diversified portfolio would consider ___ to be irrelevant
Unsystematic risk
The depreciation tax shield is best defined as the
amount of tax that is saved because of the depreciation expense
Given a well-diversified stock portfolio, the variance of the portfolio:
may be less risky than the variance of the least risky stock in the portfolio
The principle of diversification tells us that
spreading an investment across may diverse assets will eliminate some of the total risk
Most financial securities have some level of ___ risk
systematic