Assume the manager of corporate bonds predicts interest
Assume the manager of corporate bonds predicts interest rates will rise in the near future. What adjustments should be made to assuming the market has not already adjusted for this prediction?
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assume the manager of corporate bonds predicts interest rates will rise in the near future what adjustments should be
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a stock had the following annual returns 17 3 -19 and -17 what is the stocks expected return variance and standard
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