Historical bond and stock market data
Describe the general relation between risk and return that we observe in the historical bond and stock market data.
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An investor invests 30% of his wealth in risky assets with an expected rate of return of 0.13 and variance of 0.03 and 70% in a T-bill that pays 6%. His portfolio expected return and standard deviation are:
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Why do we use forecasted incremental after-tax free cash flows instead of forecasted accounting earnings in estimating the NPV of a project?
What is the difference between nominal and real cash flows? Which rate of return should we use to discount each type of cash flow?
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