Risk, Return, and Capital Asset Pricing Model MCQ App Download | Financial Management PDF e-Book
Financial Management MCQs: Chapter 9
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In capital asset pricing model, the stock with the high standard deviation tend to have
In the asset portfolio, the number of stocks are increased to
The standard deviation is 18% and the expected return is 15.5% then the coefficient of variation would be
The standard deviation is divided by the expected rate of return is used to calculate
If the stock has a great risk related to it then a required return is
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