Risk-Free Rate of Return Assignment | Homework For You
March 18th, 2020
Consider the multifactor APT with two factors. The risk premiums on the factor 1 and factor 2 portfolios are 5% and 6%, respectively. Stock A has a beta of 1.2 on factor-1, and a beta of 0.7 on factor-2. The expected return on stock A is 17%. If no arbitrage opportunities exist, the risk-free rate of return is

Multiple Choice 6.0%. 0 6.8%. 0 6.5%. 0 7.4%. Get Finance homework help today