Hi, Please read my attachment (QUESTIONS FOR CORPORATE FINANCIAL MANAGEMENT) which will give instructions/Resources for the assignment questions:

Hi, Please read my attachment (QUESTIONS FOR CORPORATE FINANCIAL MANAGEMENT) which will give instructions/Resources for the assignment questions:

Q1.​Collect the data from “Yahoo Finance” and answer the following questions (using the instructions given in the next page):

a) Collect the market price index (All Ordinaries), Share price for a company (as per instructions given in page 2) and display the data for two sub-periods (Period 1: April 2014 to December 2015; Period 2: December 2015 to August 2017) separately in a table.   ​​​​​​

b) Calculate the return of share prices  and market return  (from market price index).

c) Calculate the mean, standard deviation, variance and correlation coefficient for  and  separately (for two sub-period in a table-see next page) and comment on the results.

d) Estimate beta   for your selected company for the two sub-periods. ​

e) Explain the value of beta that you have calculated. ​​​​

f) Provide a brief description of the company.​​​

g) Why the estimated value of beta is different for two sub-periods? 

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