+1-316-444-1378

b)A stock is estimated to have a covariance with the market of 0.45. For the coming period, the market expected return is 10%, the market variance is 0.60 and the market risk-premium is 5%. If the stock is currently trading at RM2.00, use to CAPM to calculate the future price of the stock at the end of the period. 

Categories: Uncategorized