Karma Energy has a stock volatility of 10%. Faust Corp. has a stock volatility of 22% and a correlation in returns of 0.5 with Karma Energy. The volatility of a portfolio that is equally invested in Karma Energy and Faust Corp. is closest to: 12.2% 9.1% 14.2% 3.6%
Risk and return
Before understanding the concept of Risk and Return in Financial Management, understanding the two-concept Risk and return individually is necessary.
Capital Asset Pricing Model
Capital asset pricing model, also known as CAPM, shows the relationship between the expected return of the investment and the market at risk. This concept is basically used particularly in the case of stocks or shares. It is also used across finance for pricing assets that have higher risk identity and for evaluating the expected returns for the assets given the risk of those assets and also the cost of capital.
Karma Energy has a stock volatility of 10%. Faust Corp. has a stock volatility of 22% and a correlation in returns of 0.5 with Karma Energy. The volatility of a portfolio that is equally invested in Karma Energy and Faust Corp. is closest to:
12.2% |
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9.1% |
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14.2% |
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3.6% |
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