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资本资产定价模型

基于股票的贝塔系数、市场风险溢价和无风险利率,使用CAPM框架估计股票的预期收益。

Risk-Free Rate
%
Market Return
%
Beta (β)
Investment ($)
$
Period
yr
Market risk premium0.00%
Risk premium (β×MRP)0.00%
Annual return ($)$0.00
Future value$0.00
Total gain$0.00
Risk level
Beta profile
Expected Return
0.00 %
CAPM: Rf + β × (Rm − Rf)
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