Question
Using CAPM calculate the expected return for Share A, assuming a beta factor of 1.6, a market expected return of 12% and a market risk
Using CAPM calculate the expected return for Share A, assuming a beta factor of 1.6, a market expected return of 12% and a market risk premium of 5%.
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Corporate Financial Management
Authors: Glen Arnold
5th edition
978-1292178066, 129217806X, 273758837, 978-0273758839
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