Assuming that expectations are rational what on average
Why is the actual value of a financial variable different from the optimal forecast of that variable?
Assuming that expectations are rational, what, on average, will be the difference between the actual value and the optimal forecast?
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cisco systems traded at 20 per share on december 3 2001 analysts are forecastingearnings per share of 022 for 2002 and
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why is the actual value of a financial variable different from the optimal forecast of that variableassuming that
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