Multiple Choice
The historical returns data for the past three years for Stock B and the stock market portfolio are: Stock B: 24%, 0%, 24%, Market Portfolios: 10%, 12%, 20%. Calculate the expected return for Stock B and the market portfolio.
A) Stock B 16%, Market Portfolio: 14%
B) Stock B 14%, Market Portfolio: 16%
C) Stock B 24%, Market Portfolio: 12%
D) None of the above
Correct Answer:

Verified
Correct Answer:
Verified
Q21: The market value of Charter Cruise Company's
Q22: The historical returns data for the past
Q23: It is generally more accurate to estimate
Q24: Which of the following type of projects
Q25: Briefly explain how the use of single
Q27: If a firm uses the same company
Q28: The beta of the computer company is
Q29: Portfolio betas for an industry are usually
Q31: Cost of equity can be estimated using:<br>A)
Q75: Firms with cyclical revenues tend to have