Stock as stock has a beta of 130 and its required return is
Stock A's stock has a beta of 1.30, and its required return is 12.00%. Stock B's beta is 0.80. If the risk-free rate is 4.75%, what is the required rate of return on B's stock? (Hint: First find the market risk premium.) please show work
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onshore bank has 38 million in assets with risk-adjusted assets of 28 million core equity tier 1 cet1 capital is
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stock as stock has a beta of 130 and its required return is 1200 stock bs beta is 080 if the risk-free rate is 475 what
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