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Busıness Fınance I Deneme Sınavı Sorusu #1398876
Busıness Fınance I Deneme Sınavı Sorusu #1398876
"It is a model describing the relationship between the systematic risk of a security, namely beta, and expected returns." Which notion below belongs to the given definition?
Capital-Asset-Pricing Model |
Security Market Line |
Systematic risk |
Efficient Markets Hypothesis |
Risk free return |
Yanıt Açıklaması:
Capital-Asset-Pricing Model is a model describing the relationship between the systematic risk of a security, namely beta, and expected returns. As long as the market risk premium is positive, higher beta value bring higher returns.
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