2starrynightlov
2starrynightlov 2starrynightlov
  • 25-11-2020
  • Mathematics
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FIANCE 50 HELP ASAP

Calculate the required return for a Company Z that has a beta of 1.4 if the market risk premium is 9% and the risk-free rate is 4%.

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musiclover10045
musiclover10045 musiclover10045
  • 25-11-2020

Calculate the risk measure (beta) compared to the returns of asset and market premium.

1.4 = 4 + 9((rm^-4)

1.4 = 9rm ^-32

33.4 = 9rm

Rm = 3.71

The answer is 3.71

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