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NEW QUESTION: 1
Emily De Jong, CFA, works for Charles & Williams Associates, a medium-sized investment firm operating in the northeastern United States. Emily is responsible for producing financial reports to use as tools to attract new clients. It is now early in 2009, and Emily is reviewing information for O'Connor Textiles and finalizing a report that will be used for an important presentation to a potential investor at the end of the week.
Following an acquisition of a major competitor in 1992, O'Connor went public in 1993 and paid its first dividend in 1999. Dividends are paid at the end of the year. After 2008, dividends are expected to grow for three years at 11%: $2.13 in 2009, $2.36 in 2010, and $2.63 in 2011. The average of the arithmetic and compound growth rates are given in Exhibit 1. Dividends are then expected to settle down to a long-term growth rate of 4%. O'Connor's current share price of $70 is expected to rise to $72.92 by the end of the year according to the consensus of analysts' forecasts.
O'Connor's annual dividend history is shown in Exhibit 1.

De Jong is also considering whether or not she should value O'Connor using a free cash flow model instead of the dividend discount model.

The output from the regression appears in Exhibit 2.
De Jong determines that employing the CAPM to estimate the required return on equity suffers from the following sources of error:
* Estimation of the model's inputs (e.g., the market risk premium). The company's dividend payment schedule.
* The accuracy of the beta estimate.
* Whether or not the model is the appropriate one to use.
De Jong observes that two reputable statistical analysis firms estimate betas for O'Connor stock at 0.85 and 1.10. She concludes that the differences between her beta estimate and the published estimates resulted from her use of standard errors in her regression to correct for serial correlation; the other firms did not make a similar adjustment.
De Jong considers using adjusted beta in her analysis. Typically, her company uses 1/3 for the value of .

She determines
that her adjusted beta forecast will be closer to the mean reverting level using this value than it would be using a value of 1/3.
Is De Jong correct with respect to her conclusions regarding the causes of the differences between her beta estimate for O'Connor and the published beta estimates, and her strategy for adjusting her beta estimate to more quickly approach the mean reverting level of beta?
A. No on both counts.
B. Yes on one count, and no on the other.
C. Yes on both counts.
Answer: B
Explanation:
Explanation/Reference:
Explanation:
She is correct on one count but incorrect on the other. Using adjusted standard errors will change the /- statistic and potentially the statistical signiBcance, but not the beta estimate itself. So, she is incorrect with regard to the impact of adjusting the standard errors. The mean-reverting level of the beta is 1. If the historical beta is greater than I, then the adjusted beta will be less than the historical beta and closer to 1. If the historical beta is less than 1, then the adjusted beta will be greater than the historical beta and closer to
I. The adjusted beta forecast will move toward 1 more quickly for larger values of , so she is correct in regard to this matter. (Study Session 3, LOS 12.g and Study Session 18, LOS 64.h)

NEW QUESTION: 2
DRAG DROP

Answer:
Explanation:


NEW QUESTION: 3
A large multinational company runs a timesheet application on AWS that is used by staff across the world.
The application runs on Amazon EC2 instances in an Auto Scaling group behind an Elastic Load Balancing (ELB) load balancer, and stores in an Amazon RDS MySQL Multi-AZ database instance.
The CFO is concerned about the impact on the business if the application is not available. The application must not be down for more than two hours, but the solution must be as cost-effective as possible.
How should the Solutions Architect meet the CFO's requirements while minimizing data loss?
A. In another region, configure a read replica and create a copy of the infrastructure. When an issue occurs, promote the read replica and configure as an Amazon RDS Multi-AZ database instance. Update the DNS to point to the other region's ELB.
B. Configure a read replica in another region. Create an AWS CloudFormation template of the application infrastructure. When an issue occurs, promote the read replica and configure as an Amazon RDS Multi-AZ database instance and use the AWS CloudFormation template to create the environment in another region using the promoted Amazon RDS instance. Update the DNS record to point to the other region's ELB.
C. Configure a 1-day window of 60-minute snapshots of the Amazon RDS Multi-AZ database instance which is copied to another region. Crate an AWS CloudFormation template of the application infrastructure that uses the latest copied snapshot. When an issue occurs, use the AWS CloudFormation template to create the environment in another region. Update the DNS record to point to the other region's ELB.
D. Configure a 1-day window of 60-minute snapshots of the Amazon RDS Multi-AZ database instance.
Create an AWS CloudFormation template of the application infrastructure that uses the latest snapshot.
When an issue occurs, use the AWS CloudFormation template to create the environment in another region. Update the DNS record to point to the other region's ELB.
Answer: C

NEW QUESTION: 4
Which JOIN types can be used in the definition of a Core Data Services (CDS) view? 2 ans
A. REFERENTIAL JOIN
B. RIGHT OUTER JOIN
C. CROSS JOIN
D. FULL OUTER JOIN
E. LEFT OUTER JOIN
Answer: B,E