The correlation between riskcorps returns and market


The correlation between RiskCorp's returns and market returns is 52 %. RiskCorp's volatility (standard deviation of annual returns) is 72% and market volatility is 23?%. If the risk-free rate is 3% and the expected market risk premium is 10%, what is? RiskCorp's expected return?

The stock's expected return is___% (provide the answer in % and round to two decimals)

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Financial Management: The correlation between riskcorps returns and market
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