Suppose there are many stocks in the stock market.

匿名用户 最后更新于 2021-06-29 14:10 其他 All Others

Suppose there are many stocks in the stock market. The characteristics of stock A and stock B are as follows:

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Let's say the investor can borrow money at a risk-free rate of return r. What is the value of r (hint: imagine creating A riskless portfolio of stock A and stock B)?

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