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Risk-free rate is 5.65%. Beta of the Share A is 1.28. Expected market premium is 6.29%. The coefficient for size effect is 0.78. Expected return
Risk-free rate is 5.65%.
Beta of the Share A is 1.28.
Expected market premium is 6.29%.
The coefficient for size effect is 0.78.
Expected return on a portfolio of Small firms is 13.78%.
Expected return on a portfolio of Big firms is 12.31%.
The coefficient for book to market is 0.95.
Expected return on a portfolio consisting of high book to market ratio is 13.14%.
Expected return on a portfolio consisting of low book to market ratio is 8.42%.
Calculate the required rate of return of Share A using the following models:
1. CAPM:
2. Fama French et al:
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