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The current value of a stock portfolio is $23 million

Finance

The current value of a stock portfolio is $23 million. A financial analyst summarizes the uncertainty about next year's holding-period return using the scenario analysis in the following spreadsheet. What are the holding-period returns of the portfolio in each scenario? Calculate the expected holding-period return and the standard deviation of returns. B A Business conditions Annual dividend ($ million) Scenario, s End-of-year value ($ million) Probability, p 1 0.30 35 4.40 2 0.45 27 4.00 2 High growth 3 Normal growth 4 No growth 5 Recession 3 0.20 un 4 0.05 8 2.00 CONCEPT check 5.4 a. Return to Concept Check 5.3. What is the 5% VaR of the portfolio? b. What is the VaR of a portfolio with normally distributed returns with the same mean and standard deviation as this portfolio?

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