The market risk premium is the additional return on the portfolio because of the additional risk involved in the portfolio; essentially, the market risk premium is the premium return an investor has to get to make sure they can invest in a stock or a bond or a portfolio instead of risk-fr...
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The market risk premium (MRP) broadly describes the additional returns above the risk-free rate that investors require when putting a portfolio of assets at risk in the market. This would include the universe of investable assets, including stocks, bonds, real estate, and so on. Theequity ris...
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Du, DingNo Arizona UnivHu, OuYoungstown State UnivelsevierJournal of International Money and FinanceDu, D, Hu O (2015) The world market risk premium and U.S. macroeconomic announcements. J Int Money Financ 58: 75-97Du, D., and O. Hu, 2015, The world market risk premium and U.S. ...
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同学你好,很高兴为您解答!MarketRiskPremium 市场风险溢价 一个投资组合的预期回报率与无风险率之间的差额 希望我的回答能帮助您解决问题,如您满意,请采纳为最佳答案哟。再次感谢您的提问,更多财会问题欢迎提交给高顿企业知道。高顿祝您生活愉快!
Simple Average: the average return of the U.S. stock market has been 8.6% per year over the past ~150 years(1872 to 2024); this is the “simple” average across all years (also known as the “arithmetic” average) Annualized Average: the return of the U.S. stock market has been 7....
@nony - What do you think of the historical market risk premium? You often hear the caution, “past performance is no guarantee of future returns.” So why do people look at the historical return on the stock market? Everywhere I turn, I am told that the average expected rate of return...
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