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Papers on "Capital Asset Pricing Model" and similar term paper topics

Paper #064243 :: Capital Asset Pricing Model
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An essay explaining the capital asset pricing model.

Written in 2006; 1,311 words; 4 sources; MLA; $ 44.95

Paper Summary:

This paper tells us that the asset pricing model evaluates a stock's rate of return based on a specific formula. The formula, rate of return = risk free interest rate + Beta x 8.7, is then explained by the paper.

From the Paper:

"1.A project cost $100,000 and offers you a beta-of-two expected return of $150,000 in one year; risk premium = 8.5%; the "Wall Street Journal" reports that the riskless rate is 5.0%; the appropriate discount factor is thus 22%; 150,000/(1.22) = $123,000 (approximately) - thus the project has a net present value of $23,000."

Tags: three-month treasury bills inflation average compared market change whole

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