The beta of M Simon Inc., stock is 1.6, whereas the risk-free rate of return  is 0.06. If the expected return on the market is 0.15, then what is  the expected return on M Simon Inc?

EBK CONTEMPORARY FINANCIAL MANAGEMENT
14th Edition
ISBN:9781337514835
Author:MOYER
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Chapter8: Analysis Of Risk And Return
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The beta of M Simon Inc., stock is 1.6, whereas the risk-free rate of return  is 0.06. If the expected return on the market is 0.15, then what is  the expected return on M Simon Inc? Round to four decimal places.

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A model that represents the relationship of the required return and beta of a particular asset is termed as the CAPM (capital asset pricing model).

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