finance 320 discussion 1
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- Suppose investors believe that the standard deviation of the market-index portfolio has increased by 50%. Speculate on two potential implications of CAPM regarding the effect of this change on the required rate of return for a company’s investment projects.
- From the e-Activity, compare the returns of the two selected funds for the past 10 years. Determine whether you believe that the single-index CAPM should or should not be rejected. Explain why or why not.
- One page length and no plagiarism. Thank you!!
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