A stock has an expected return of 7 what is its beta assume
A stock has an expected return of 7%. What is its beta? Assume the risk-free rate is 4% and the expected rate of return on the market is 12%. (Negative value should be indicated by a minus sign. Round your answer to 2 decimal places.)
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suppose two factors are identified for the us economy the growth rate of industrial production ip and the inflation
the market price of a security is 70 its expected rate of return is 12 the risk-free rate is 7 and the market risk
you invested 70000 in a mutual fund at the beginning of the year when the nav was 3821 at the end of the year the fund
consider the following two assetsasset a expected return is 4 and standard deviation of return is 42asset b expected
a stock has an expected return of 7 what is its beta assume the risk-free rate is 4 and the expected rate of return on
a 7-yr annuity of fourteeen 10600 semi-annual payments will begin 9 years from now with the first payment coming 95
yoursquove observed the following returns on crash-n-burn computerrsquos stock over the past five years 18 percent
a share of stock is now selling for 120 it will pay a dividend of 10 per share at the end of the year its beta is 1
please choose the correct answer and answer all of the following questions1 which of the following is not a general
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