task problem set

Project Description:

suppose autodesk stock has a beta of 2.16, whereas costco stock has a beta of 0.69. if the risk-free interest rate is 4% and the expected return of the market portfolio is 10%, what is the expected return of a portfolio that consists of 60% autodesk stock and 40% costco stock, according to the capm?
Skills Required:
Project Stats:

Price Type: Fixed

Project Budget: $0 to $10
Expired
Total Proposals: 10
1 Current viewersl
77 Total views
Project posted by:

Proposals

Proposals Reputation Price offered
  • 4.7
    93 Jobs 44 Reviews
    $10 in 4 Hours
  • 5.0
    9 Jobs 2 Reviews
    $5 in 1 Hour
  • 4.6
    103 Jobs 52 Reviews
    $10 in 24 Hours
  • 4.9
    243 Jobs 94 Reviews
    $7 in 1 Hour
  • 4.9
    154 Jobs 95 Reviews
    $5 in 1 Hour
  • 4.9
    105 Jobs 49 Reviews
    $10 in 1 Day
  • 4.8
    111 Jobs 55 Reviews
    $8 in 1 Hour
  • 0.0
    0 Jobs 0 Reviews
    $10 in 1 Day
  • 4.7
    32 Jobs 9 Reviews
    $5 in 2 Hours
  • 4.5
    74 Jobs 34 Reviews
    $4 in 1 Day