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The risk-free rate is 6.4 percent and the market risk premium is 5 percent. Assume that required returns are based on the CAPM. Your $1 million portfolio consists of $ 336 ,000 invested in a stock that has a beta of 1.7 and the remainder invested in a stock that has a beta of 0.8. What is the required return on this portfolio? Enter your answer to the nearest .1%. Do not use the % sign in your answer, thus 12.1% is 12. 1 rather than 12.1% or .121.
A instead of Program B, is the perennial statement in public sector budgeting. Identify and discuss at least 5 attempts found in the budgeting literature, used to answer V.O. key's famous budgeting question. In your professional judgement, which t..
Consider a Poisson distribution with a mean of two occurrences per time period.
On basis of these data, can college conclude that students in new program performed significantly better than rest of freshman class? Use a one-tailed test with α = .05.
A nurse studied PSA readings and found the sample data set to be normally distributed with a mean of 25 and a standard deviation of 7.25.
Based on your experience using ANOVA and Nonparametric tests, what additional information would you recommend to the key decision maker solve the challenges given in a company that provides software solutions to wide range of clients?
Test for the normality of the data Do the IQs of students at the school run above the national average at α = 0.01?
A demographer, using a random sample of n = 500 people, obtained a 95 percent confidence interval for mean age at marriage (m) in years for US adults. The CI was (26.4, 27.3). Suppose another demographer obtained a separate independent sample of p..
a. What is the probability of randomly selecting 1 woman with a height less than 65.5 inches?
let x be a discrete random variable with possible values x ?1012 and probability function fx kx3 0.15 for x ?1012.a
Motivation to participate in volunteer service. A study examined patterns and characteristics of volunteer service for young people from high school through.
How could the engineer increase the accuracy of the interval without changing the level of confidence?
Which of the following does not explain a possible relationship between variables when the null hypothesis is rejected?
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