Question
a certain stock has a beta of 1.3, risk free rate of 3.2% and market risk premium is 7.5%. 1- what is the expected return
a certain stock has a beta of 1.3, risk free rate of 3.2% and market risk premium is 7.5%.
1- what is the expected return of the stock
2- what is the expected return of stock with beta of 0.75
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Personal Finance
Authors: Jeff Madura, Hardeep Singh Gill
3rd Canadian Edition
978-0133035575, 133035573, 978-0133970524, 133970523, 978-0134040042
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