题目
题目

FINS2624-Portfolio Mgmt - T1 2025

数值题

Stock X has an expected excess return of 12% and its beta is 1.25. The Market portfolio expected return is 8% and the risk-free rate is 2%. What is the alpha of Stock X? Enter your answer to 4 decimal places eg if your answer is 1.44% enter as 0.0144 If your answer is 1% enter as 0.0100

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思路分析
To begin, identify the key values given: the stock's expected excess return is 12% (0.12), the stock's beta is 1.25, the market portfolio's ex......Login to view full explanation

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