Series 65 - Chapter 1 - Economic Factors and Business Information
form 3
initial filing, tell the ownership amounts
internal rate of return (IRR)
interest rate that makes the net present value of all cash flows equal zero
form 144
investors get clues to a corporate insider's pattern of selling securities and pressure to sell
form 5
annual summary of form 4 and includes any information that should have been reported
additional information
any other relevant information, such as recent sales of unregistered securities
prospectus
legal document that charges the issuer of the securities to provide details of the investment offered, how the business operates, its history, management, financial condition and insight into any risk
if beta < 1 the security will move to a ___ ___ than the market
less extent
when monetary policy expand credit, lower interest rates make bonds ___ appealing as investments and stocks ___ appealing
less, more
Lower reserve requirements ___ the money supply
loosen
A lower discount rate ____ money supply
loosens
systematic risk
market risk, potential for the entire market to decline
3 measures of central tendency
mean, median, mode
beta
measure of systematic risk relative to the market as a whole
alpha
measures stock-price volatility based on the specific characteristics of the particular security
a security with a wide range is ___ volatile
more
do foreign companies need to submit paper disclosures?
no, they can post them in English on the internet
liquidation priority
order in which creditors and shareholders are paid
unemployment rate
percentage of the unemployed
peak
period where the growth rate of the expansion slow and the economy is in a period of prosperity
duration takes into account
the length of time to maturity and the difference between the coupon rate and the yield to maturity
liquidity risk refers to
the marketability of the bond
the IRR represents
the return a company would earn if it expanded or invested in itself rather than elsewhere
flat yield curve occurs where yields are
the same for short, intermediate, and LT bonds
lagging indicators
signs that do not emerge until after a change in economic conditions
price-to-book ratio
a valuation ratio used to compare a stock's market value to its book value
price/earnings ratio
a valuation ratio used to determine how the market has valued the share in comparison to its earnings per share
total return
actual rate of return an investment provided over a certain period of time
10-k report
comprehensive analysis of the company, more informations than an annual report
standard deviation
dispersion of a set of data from its mean (average)
an inverted yield curve may be an indication of ____ ____
economic decline
inflation
every dollar buys less goods, prices rise
deflation
every dollar buys more goods, prices lower
business cycles
expansion, peak, contraction, recovery
trade surplus
exports exceed imports
when the supply of money increases, interest rates ___
fall
contraction
follows the peak
who reads income statements and balance sheets?
fundamental analysts
if beta > 1 the security will move to at a ___ ___ than the market
greater pace
a high P/E suggests investors are expecting ____ earnings growth in the future compared to companies with lower P/E
higher
inverted (negative) yield curve means short-term interest rates are ___ than long-term rates
higher
interest rate is more of a risk if the investor can't ___ ___ ___ ___ ___
hold the bond until maturity
form 4
identifies the changes in ownership
trade deficit
imports exceed exports
for a normal yield curve, as maturity lengthens, interest rates ___
increase
when the supply of money tightens, interest rates ___
increase
expansion is characterized by?
increase economic activity and real GDP increases
Buying government securities ____ the money supply by ____ cash in the economy and helps lead to ___ interest rates
increases, injecting, lower
real return
inflation-adjusted return
balance sheet is a
snapshot of the company's financial health and condition
A trade surplus results in a ___ dollar
stronger
sharpe ratio is calculated by
subtracting the risk-free rate of return from the rate of return for a portfolio and dividing the result by the standard deviation of the portfolio returns
net present value (NPV)
sum of the present values of incoming and outgoing cash flows over a period of time
market risk is the same as
systematic risk
balance of payments (BOP)
the amount of foreign currency taken in minus the amount of domestic currency paid out
quick ratio equation
(current assets - inventory) / current liabilities
the 10-q is provided within __ __ of the end of each of the first three quarters of the company's fiscal year
45 days
if major developments don't make 10-k or 10-q in time they are presented in the ___ report
8-k
companies must submit a 10-k report within __ __ of the end of their fiscal year
90 days
yield curve
a graph that plots bond yields against their time period to maturity
Consumer Price Index (CPI)
a measure of the price of a basket of goods and services
Producer Price Index (PPI)
a measure of the price of commercial items
contraction is characterized by?
a reduction in GDP and other business indicators
4 parts of the 10-k
business summary, management discussion and analysis, financial statements, sections discussing management team and legal proceeding
capital structure
careful balance between equity and debt that a business uses to finance assets, day-to-day operations and future growth
inflation risk
chance that cash flows from an investment won't be worth as much in the future
coincident indicators
coincide with current economic activity
The Federal Reserve can change the percentage of ___ required to buy securities on margin
credit
current ratio equation
current assets/current liabilities
if interest rates rise, the market value of the bond will ___
decline
Selling securities ____ the money supply by ____ cash in the economy and helps to ____ interest rates
decreases, removing, raise
10-q report
details company's latest developments and provides a preview of the direction it plans to take
risk-adjusted return
determine if the amount of return received is commensurate with the risk taken
range
difference between the low and high prices for a security or index over a specific time period
yield spreads
difference in interest rates between different classes of bonds
expansion
phase after a low point in the economy
normal yield curve
positively sloped, lower interest rates correlated with shorter maturities
business risk
possibility that a company will have lower than anticipated profits
leading indicators
preview signs of improvement or decline in economic conditions
debt-to-equity ratio
proportion of equity and debt used to finance a company's assets
2 parts of registration statements
prospectus, additional information
registration statements
provide investors with an understanding of the securities offered and the profitability of the company
a contraction is also called a
recession
monetary policy
refers to actions taken by the Federal Reserve to either increase or decrease the money supply in the economy
fiscal policy
refers to government actions that may influence economic activity
opportunity cost
refers to the potentially higher rate of return an investor could earn if the money used to purchase a bond were placed in an alternate investment
income statement shows...
results of operations over a period, revenues and expenses
schedule 13D
reveal who owns most of the company's shares and introduces the owner to investors
when monetary policy tightens credit, interest rates will ___, earnings will ___, and the mkt price of the stock is likely to ___ as well
rise, decrease, decrease
regulatory risk
risk that a change in laws and regulations will materially impact things
political risk
risk that an investment's return could suffer as a result of political changes or instability
unsystematic risk
risk that any one stock may go down in value, independent of the stock market as a whole
proxy statements are presented prior to the ___ ___ and must be filed with the sec before a ___ ___
shareholder meeting, shareholder vote
Higher reserve requirements ___ the money supply
tighten
A higher discount rate ____ money supply
tightens
Gross Domestic Product (GDP)
total amount of all goods and services produced in the country
debt-to-equity equation
total liab / shareholders equity
a recovery is also called a
trough
the 10-q includes these two things while the 10-k does not
unaudited financial statements and less detailed reports
a low P/B ratio means that the stock is _____
undervalued
quick ratio
used to gauge a company's liquidity
sharpe ratio is used to
uses the standard deviation of a stock or portfolio to measure volatility, measures risk-adjusted return
inverted yield curve occurs when there is a ___ demand for ST bonds and a ___ demand for LT bonds
weak, strong
A trade deficit results in a ___ dollar
weaker
proxy statement
where investors can view management's salaries, conflicts of interest, and other perks received
recovery
where the contraction reaches bottom, may be stagnant for a time before starting next expansion
current ratio
whether or not a firm has enough resources to pay its current debts
if beta = 1 the security price will move ___ the market
with
can the prospectus be audited by a CPA?
yes