题目内容
(请给出正确答案)
[主观题]
At present, the riskless rate of return is 5% and the expected rate of return on the marke
t portfolio is 11%. The expected return for a common stock is 20% and the stock’s beta is 1.2. This particular common stock is: (B )
A、fairly valued
B、undervalued
C、overvalued
D、cannot tell
提问人:网友durumei
发布时间:2022-01-07