EBK INVESTMENTS
EBK INVESTMENTS
11th Edition
ISBN: 9781259357480
Author: Bodie
Publisher: MCGRAW HILL BOOK COMPANY
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Chapter 5, Problem 7CP
Summary Introduction

To calculate:

: The expected return is sum of weighted average of stock returns in different market conditions like good market, normal and poor market. Probability here counts for the weights that can be assigned to the returns.

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