The beta co-efficient of equity stock of ARISTO LTD is 1.6. The risk free rate of return is 12% and the required rate of return is 15% on the market portfolio. If dividend expected during the coming year ?2.50 and the growth rate of dividend and earnings is 8%. At what price the stock of ARISTO LTD. Can be sold (based on CAPM)?

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Syllabus for the paper: Section A : Investment decisions 25% 1. Investment Decisions, Project Planning and Control 2. Evaluation of Risky Proposals for Investment Decisions 3. Leasing Decisions Section B : Financial Markets and Institutions 20% 4. Institutions in Financial Markets 5. Instruments in Financial Markets 6. Capital Markets 7. Commodity Exchange Section C : security Analysis and portfolio Management 25% 8. Security Analysis & Portfolio Management Section D : Financial risk Management 30% 9. Financial Risks & Management 10. Financial Derivatives – Instruments for Risk... Show more

The beta co-efficient of equity stock of ARISTO LTD is 1.6. The risk free rate of return is 12% and the required rate of return is 15% on the market portfolio. If dividend expected during the coming year ?2.50 and the growth rate of dividend and earnings is 8%. At what price the stock of ARISTO LTD. Can be sold (based on CAPM)?






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