Assume that the risk-free rate is 1.5% and the market risk premium is 4.8%. What is...
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Assume that the risk-free rate is 1.5% and the market risk premium is 4.8%. What is the required return for a stock with a beta of 2.3? Question 24 4 pts Beale Manufacturing Company has a beta of 1.65, and Foley Industries has a beta of 0.62, the required return on an index fund that holds the entire stock market is 18%, and the risk-free rate of return is 1%. By how much does the required return on Beal's stock exceed the required return on the Foley's stock? State your answer to 2 decimal places. Question 25 4 pts Suppose you held a diversified portfolio consisting of a $10,537 investment in each of 24 different common stocks. The portfolio's beta is 1.44. Now suppose you decided to sell one of the stocks in your portfolio with a beta or 1.01 for $10,537 and use the proceeds to buy another stock with a beta of 0.7. What would your portfolio's new beta be? Assume that the risk-free rate is 1.5% and the market risk premium is 4.8%. What is the required return for a stock with a beta of 2.3? Question 24 4 pts Beale Manufacturing Company has a beta of 1.65, and Foley Industries has a beta of 0.62, the required return on an index fund that holds the entire stock market is 18%, and the risk-free rate of return is 1%. By how much does the required return on Beal's stock exceed the required return on the Foley's stock? State your answer to 2 decimal places. Question 25 4 pts Suppose you held a diversified portfolio consisting of a $10,537 investment in each of 24 different common stocks. The portfolio's beta is 1.44. Now suppose you decided to sell one of the stocks in your portfolio with a beta or 1.01 for $10,537 and use the proceeds to buy another stock with a beta of 0.7. What would your portfolio's new beta be?
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