A stock with a beta of 1.2 has an expected rate of return of 11.32%. The risk-free
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A stock with a beta of 1.2 has an expected rate of return of 11.32%. The risk-free rate in the market is 2.21%. What is the market premium?
Related Book For
Fundamentals of Corporate Finance
ISBN: 978-0077861629
8th edition
Authors: Richard Brealey, Stewart Myers, Alan Marcus
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