Question: questions 17 & 18 QUESTION 17 What is the expected return on asset A if it has a beta of 0.3, the expected market return
QUESTION 17 What is the expected return on asset A if it has a beta of 0.3, the expected market return is 14%, and the risk-free rate is 5%7 A. 6.0% B.9.2% C.7.2% D.7.7% QUESTION 18 % if the If we assume that the annual return on common stocks are normally distributed, then approximately 95% of the returns will fall within the range_ average historical return is 13.3% with a standard deviation of 20.1%. A. 6,8 to 33.4 OB.-6.8 to 33.4 OC-26.9 to 33.4 D.-5.1 to 45.7 E.-26.9 to 53.5
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