FIN 370T Week 4 Discussion: Risk and Financial Decision
Post a total of 3 substantive responses over 2 separate days for full participation. This includes your initial post and 2 replies to classmates or your faculty member.
Investors need to know how much risk they have to take to confidently expect a certain percentage return. Likewise, managers want to know what return shareholders require so that they can decide how to meet those expectations.
Respond to the following in a minimum of 175 words:
Select 2–3 of the topics below and discuss how they each influence financial decisions regarding risk and return:
The capital asset pricing model (CAPM)
The constant–growth model
Compute forward-looking expected return and risk
Post 2 replies to classmates or your faculty member. Be constructive and professional.
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