网络市场期望收益率 网络释义 1. 市场期望收益率 泉州翻译公司... ... expansion 扩充(投资)expected return on the market市场期望收益率expected return 期望收益 ... www.laddertrans.com|基于3个网页
\begin{aligned} \frac{1}{R_{f, t}} \mathbb{E}_{t}^{*} S_{T}^{2} &=2 \int_{0}^{\infty} \frac{1}{R_{f, t}} \mathbb{E}_{t}^{*} \max \left\{0, S_{T}-K\right\} d K \\ &=2 \int_{0}^{\infty} \operatorname{call}_{t, T}(K) d K . \end{aligned...
A stock has a beta of 1.13, the expected return on the market is 10.7% and risk-free rate is 4.6%. What is the expected return? CAPM: CAPM stands for the capital asset pricing model. This approach helps to determine the required rat...
Assume that the risk-free rate is 3% and the expected return on the market is 11%. What is the required rate of return on a stock with a beta of 1.2? Assume that the risk-free rate is 4.5% and the expected retur...
Assuming that the risk-free rate is 5 percent, the expected return on the market is 10 percent, and the stock's beta is 0.5, what is the value of a stock that paid a 0. 30 dividend last year, if dividends are expected to grow at a rate of 6 percent forever A. 15.00. B. 16.63...
是市场期望回报率(Expected Market Return), 是股票市场溢价 (Equity Market Premium). CAPM公式中的右边第一个是无风险 … readset-michelle.blogbus.com|基于80个网页 2. 市场期看回报率 是市场期看回报率(Expected Market Return),是市场组合的预期收益率,是股票市场溢价 (Equity Market Premium). 要估计预 …...
The cost of equity for Ryan Corporation is 8.4%. If the expected return on the market is 10% and the risk-free rate is 5%, then the equity beta is ___.A.0.48___0.68C.1.25D.1.68E.Impossible to calculate with information given. Rs = Rf +(Rm - Rf); .084 = .05 +(.10...
市场风险溢价(Market risk premium)市场期望回报率(Expected Market Return )具体的我不懂。。但是查了一下。。有位童鞋是这么说的。。如果你是相关专业的应该看得懂中文意思的哈:(1)根据资本资产定价模型(CAPM模型)期望收益率=无风险收益率+贝塔系数*(市场的收益率-无风险利率)。所以期望收益...
ra= expected return; rf= therisk-free rate of return; β = the investment'sbeta; and rm=the expected market return The expected return above the risk-free rate of return depends on the investment's beta, or relative volatility compared to the broader market. The expected return andstandard...
百度试题 结果1 题目 Iftheexpectedreturnontheequitymarketis10%andtherisk-freerateis3%,therequiredreturnonanassetwithbetaof0.6isclosestto: A. 6.0%. B. 9.0%. C. 7.2%. 相关知识点: 试题来源: 解析 C 略 反馈 收藏