A portfolio consists of 45 of stock a 35 of stock b and the
A portfolio consists of 45% of stock A, 35% of stock B, and the remaining of stock C. The expected rate of return of each stock is 28%, 22%, and <17%> respectively. The expected return of this portfolio is
a) 33.0%
b) 67.0%
c) 16.9%
d) 23.7%
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a firm is determining its cost of common stock equity it last paid a dividend of 52 the dividends are growing at 5
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you find a zero coupon bond with a par value of 10000 and 19 years to maturity the yield to maturity on this bond is 41
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a portfolio consists of 45 of stock a 35 of stock b and the remaining of stock c the expected rate of return of each
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abc co a corporation had gross sales of 500000 in 2008 additionally the company also received 100000 in dividend income
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mr smart is an investor with 15000 to invest he has narrowed his choice down to two possible investmentsmutual
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